United States v. Thompson ( 1993 )


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    August 17, 1993 UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT
    ____________________

    No. 91-1896

    UNITED STATES,
    Appellee,

    v.


    KENNETH INNAMORATI,
    Defendant, Appellant.

    ___________________

    No. 91-1897

    UNITED STATES,
    Appellee,

    v.

    WILLIAM THOMPSON,
    Defendant, Appellant.

    ___________________

    No. 91-1898

    UNITED STATES,
    Appellee,

    v.

    JAMES GRADY, a/k/a THE REBEL,
    Defendant, Appellant.

    ____________________

    No. 91-1899

    UNITED STATES,
    Appellee,

    v.

    ROBERT DEMARCO, SR.,
    Defendant, Appellant.

    ____________________
















    No. 91-1900

    UNITED STATES,
    Appellee,

    v.

    WILLIAM LETTERS,
    Defendant, Appellant.

    ____________________

    No. 91-1901

    UNITED STATES,
    Appellee,

    v.

    ROBERT DEMARCO, JR.,
    Defendant, Appellant.

    ____________________

    No. 91-1902

    UNITED STATES,
    Appellee,

    v.

    PHILLIP BARGALLA, a/k/a FLIP,
    Defendant, Appellant.

    ___________________

    No. 91-1903

    UNITED STATES,
    Appellee,

    v.

    JAMES LITTERIO, a/k/a MICKEY,
    Defendant, Appellant.

    ____________________





















    No. 91-1924

    UNITED STATES,
    Appellee,

    v.

    JOHN BOISONEAU,
    Defendant, Appellant.

    ____________________

    No. 92-1253

    UNITED STATES,
    Appellee,

    v.

    JOSEPH GILBERTI,
    Defendant, Appellant.

    ____________________

    ERRATA SHEET

    The opinion of the Court issued on June 17, 1993, is amended
    as follows:

    On page 30, lines 1-2 of the fourth paragraph of the block
    quote, replace "Paula Bufton" with "Paula [sic] Bufton".






































    July 8, 1993
    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT
    ____________________

    No. 91-1896
    UNITED STATES,
    Appellee,

    v.

    KENNETH INNAMORATI,
    Defendant, Appellant.

    ____________________


    No. 91-1897
    UNITED STATES,
    Appellee,

    v.

    WILLIAM THOMPSON,
    Defendant, Appellant.

    ____________________

    No. 91-1898
    UNITED STATES,
    Appellee,

    v.

    JAMES GRADY, a/k/a THE REBEL,
    Defendant, Appellant.

    ____________________

    No. 91-1899
    UNITED STATES,
    Appellee,

    v.

    ROBERT DEMARCO, SR.,
    Defendant, Appellant.

    ___________________


















    ____________________
    No. 91-1900
    UNITED STATES,
    Appellee,

    v.

    WILLIAM LETTERS,
    Defendant, Appellant.

    ____________________

    No. 91-1901
    UNITED STATES,
    Appellee,

    v.

    ROBERT DEMARCO, JR.,
    Defendant, Appellant.

    ____________________

    No. 91-1902
    UNITED STATES,
    Appellee,

    v.

    PHILLIP BARGALLA, a/k/a FLIP,
    Defendant, Appellant.

    ____________________

    No. 91-1903
    UNITED STATES,
    Appellee,

    v.

    JAMES LITTERIO, a/k/a MICKEY,
    Defendant, Appellant.

    ____________________

    No. 91-1924
    UNITED STATES,
    Appellee,

    v.

    JOHN BOISONEAU,
    Defendant, Appellant.















    ____________________


    ____________________
    No. 92-1253
    UNITED STATES,
    Appellee,

    v.

    JOSEPH GILBERTI,
    Defendant, Appellant.

    ____________________



    ERRATA SHEET
    ERRATA SHEET

    The opinion of the Court issued on June 17, 1993, is amended as
    follows:

    On page 44, lines 14-16: replace the sentence "Although the
    notation was produced prior to the cross-examination of Scott, counsel
    for Grady declined to ask Scott any questions." with the sentence
    "Grady sought to call O'Brien to the stand to question him about the
    _______
    notation, but he never sought to recall Scott for further cross-
    examination once the notes were produced."








































    June 23, 1993
    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT
    ____________________

    No. 91-1896
    UNITED STATES,
    Appellee,

    v.

    KENNETH INNAMORATI,
    Defendant, Appellant.

    ____________________


    No. 91-1897
    UNITED STATES,
    Appellee,

    v.

    WILLIAM THOMPSON,
    Defendant, Appellant.

    ____________________

    No. 91-1898
    UNITED STATES,
    Appellee,

    v.

    JAMES GRADY, a/k/a THE REBEL,
    Defendant, Appellant.

    ____________________

    No. 91-1899
    UNITED STATES,
    Appellee,

    v.

    ROBERT DEMARCO, SR.,
    Defendant, Appellant.

    ___________________



















    ____________________
    No. 91-1900
    UNITED STATES,
    Appellee,

    v.

    WILLIAM LETTERS,
    Defendant, Appellant.

    ____________________

    No. 91-1901
    UNITED STATES,
    Appellee,

    v.

    ROBERT DEMARCO, JR.,
    Defendant, Appellant.

    ____________________

    No. 91-1902
    UNITED STATES,
    Appellee,

    v.

    PHILLIP BARGALLA, a/k/a FLIP,
    Defendant, Appellant.

    ____________________

    No. 91-1903
    UNITED STATES,
    Appellee,

    v.

    JAMES LITTERIO, a/k/a MICKEY,
    Defendant, Appellant.

    ____________________

    No. 91-1924
    UNITED STATES,
    Appellee,

    v.

    JOHN BOISONEAU,
    Defendant, Appellant.















    ____________________


    ____________________
    No. 92-1253
    UNITED STATES,
    Appellee,

    v.

    JOSEPH GILBERTI,
    Defendant, Appellant.

    ____________________



    ERRATA SHEET


    The opinion of this Court issued on June 17, 1993, is amended as
    follows:

    On third page under list of attorneys "Levchuck should read
    ________
    Levchuk."
    _________












































    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT
    ____________________

    No. 91-1896
    UNITED STATES,
    Appellee,

    v.

    KENNETH INNAMORATI,
    Defendant, Appellant.

    ____________________


    No. 91-1897
    UNITED STATES,
    Appellee,

    v.

    WILLIAM THOMPSON,
    Defendant, Appellant.

    ____________________

    No. 91-1898
    UNITED STATES,
    Appellee,

    v.

    JAMES GRADY, a/k/a THE REBEL,
    Defendant, Appellant.

    ____________________

    No. 91-1899
    UNITED STATES,
    Appellee,

    v.

    ROBERT DEMARCO, SR.,
    Defendant, Appellant.

    ___________________



















    ____________________
    No. 91-1900
    UNITED STATES,
    Appellee,

    v.

    WILLIAM LETTERS,
    Defendant, Appellant.

    ____________________

    No. 91-1901
    UNITED STATES,
    Appellee,

    v.

    ROBERT DEMARCO, JR.,
    Defendant, Appellant.

    ____________________

    No. 91-1902
    UNITED STATES,
    Appellee,

    v.

    PHILLIP BARGALLA, a/k/a FLIP,
    Defendant, Appellant.

    ____________________

    No. 91-1903
    UNITED STATES,
    Appellee,

    v.

    JAMES LITTERIO, a/k/a MICKEY,
    Defendant, Appellant.

    ____________________

    No. 91-1924
    UNITED STATES,
    Appellee,

    v.

    JOHN BOISONEAU,
    Defendant, Appellant.















    ____________________


    ____________________
    No. 92-1253
    UNITED STATES,
    Appellee,

    v.

    JOSEPH GILBERTI,
    Defendant, Appellant.

    ____________________


    APPEALS FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF MASSACHUSETTS

    [Hon. Frank H. Freedman, Senior District Judge]
    _____________________

    ____________________

    Before

    Torruella, Circuit Judge,
    _____________
    Aldrich, Senior Circuit Judge,
    ____________________
    and Boudin, Circuit Judge.
    _____________
    ____________________

    J. Michael McGuinness, by Appointment of the Court, with whom
    ______________________
    McGuinness & Parlagreco was on brief for appellant Kenneth Innamorati.
    _______________________
    Diane Powers, by Appointment of the Court, for appellant William
    _____________
    Thompson.
    Robert L. Rossi, by Appointment of the Court, for appellant James
    _______________
    Grady.
    Robert J. Danie, by Appointment of the Court, with whom Bonavita,
    _______________ _________
    Gordon, and Danie, P.C. was on brief for appellant Robert DeMarco, Sr.
    _______________________
    Michael C. Bourbeau, by Appointment of the Court, with whom
    _____________________
    Bourbeau and Bourbeau was on brief for appellant William Letters.
    _____________________
    Warren R. Thompson, by Appointment of the Court, for appellant
    __________________
    Robert DeMarco, Jr.
    Henry C. Porter, by Appointment of the Court, for appellant
    ________________
    Phillip Bargalla.
    Arthur R. Silen, by Appointment of the Court, for appellant James
    _______________
    Litterio.
    Frances L. Robinson, by Appointment of the Court, with whom
    ____________________
    Davis, Robinson & White was on brief for appellant John Boisoneau.
    _______________________
    Dwight M. Hutchison, by Appointment of the Court, for appellant
    ___________________
    Joseph Gilberti.
    Andrew Levchuk, Assistant United States Attorney, with whom A.
    ______________ __
    John Pappalardo, United States Attorney, and Kevin O'Regan, Assistant
    _______________ _____________
    United States Attorney, were on brief for appellee.

    ____________________












    June 17, 1993
    ____________________



































































    BOUDIN, Circuit Judge. In this case ten individuals
    _____________

    challenge, on a wide variety of grounds, their convictions

    and sentences following a jury trial in the district court.1

    All ten defendants were found guilty of conspiring to

    distribute and to possess with intent to distribute cocaine

    and marijuana, in violation of 21 U.S.C. 846 and

    841(a)(1). All defendants except Thompson were convicted of

    one or more additional counts relating to the ring's

    activities. For the reasons that follow, we reverse

    defendant Grady's conviction on one count for insufficient

    evidence and remand for resentencing, and we sustain each of

    the remaining convictions and sentences.

    I. BACKGROUND

    The voluminous testimony and other evidence properly

    introduced at trial, viewed in the light most favorable to

    the verdicts, see United States v. Rivera-Santiago, 872 F.2d
    ___ ______________ _______________

    1073, 1078-79 (1st Cir.), cert. denied, 492 U.S. 910 (1989),
    ____________

    established the following facts. In 1984, Brian Fitzgerald

    and Paul Callahan--two co-conspirators who testified for the

    government at trial--met in Walpole penitentiary while

    serving terms of imprisonment there. The two men formed an





    ____________________

    1The ten are Kenneth Innamorati, William Thompson, James
    Grady, Robert DeMarco Sr., William Letters, Robert Demarco
    Jr., Phillip Bargalla, James Litterio, John Boisoneau, and
    Joseph Gilberti.

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    alliance, agreeing that upon their release from prison they

    would begin a drug distribution network.

    After their release, Callahan and Fitzgerald began drug

    dealing. In 1985, they were approached by an intermediary

    and asked if they could supply a kilogram of cocaine to

    Kenneth Innamorati and his then-partner, Noel Bouvier.

    Fitzgerald and Callahan agreed to supply the cocaine, which

    they acquired from a source in Everett, Massachusetts, and

    then delivered to Innamorati in Framingham in exchange for

    $55,000. About three months later, Fitzgerald and Callahan

    agreed to join forces with Innamorati and Bouvier. At that

    time, Innamorati's principal source for cocaine was an

    individual in Boston. Callahan and Fitzgerald each picked up

    kilograms of cocaine from the supplier and delivered it to

    Innamorati, who weighed it, mixed it with other substances to

    increase its volume, and separated it into smaller

    quantities. Callahan and Fitzgerald then delivered the drugs

    to Innamorati's customers.

    After a time, Innamorati lost the services of his Boston

    supplier, and Callahan began supplying Innamorati with

    cocaine from Callahan's own sources. Callahan made contact

    with an individual named Tom Reilly in Florida. Reilly

    ultimately supplied Callahan and Innamorati with large

    quantities of cocaine and marijuana on a regular basis from

    the summer of 1985 onward. In June 1985, Fitzgerald hired



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    defendant Grady, who drove a tractor-trailer, to pick up the

    cocaine and marijuana from Reilly in Florida and haul it to

    Massachusetts. Grady made this trip about once a month

    between June 1985 and February 1988, occasionally bringing

    cash down to Florida to pay for prior shipments.

    Callahan and Innamorati developed an elaborate system

    for storage and distribution of the narcotics once they

    reached Massachusetts. The drugs were stored in several

    different locations. For example, some of the drugs were

    stashed in the trunk of a car parked in a storage unit at a

    self-storage facility called Hyperspace in Holliston,

    Massachusetts. Drugs were also stored in a rented apartment

    in a development called Edgewater Hills in Framingham,

    Massachusetts. In May 1987, a new apartment in Edgewater

    Hills was selected. Edward Tulowiecki, an acquaintance of

    Innamorati who was a star witness at trial, agreed to live in

    the apartment and assist Innamorati; Innamorati paid a

    portion of the rent for the apartment.

    This Edgewater Hills apartment became the base of

    operations for much of the conspirators' activities.

    Innamorati and Callahan moved a considerable array of drug

    distribution paraphernalia into the apartment, including

    scales, a safe and a freezer. Callahan and Innamorati

    frequently came to the apartment to deliver or pick up

    packages of cocaine and marijuana, or to prepare and package



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    them for distribution. Tulowiecki was not permitted to have

    other guests in the apartment.

    Innamorati used beepers and cellular telephones to

    facilitate his distribution activities. Each of the persons

    to whom he regularly distributed the narcotics was assigned a

    code number. To place an order, he or she would place a call

    to Innamorati's beeper, and then enter the code number and

    the quantity sought; the order would then be transmitted to

    the digital display on Innamorati's beeper. Innamorati

    preferred cellular rather than ordinary telephones for

    communications relating to drug distribution, because he

    believed that cellular telephones were more difficult to tap.

    William Thompson, a former Clinton police officer and a

    friend of Innamorati, acquired and installed several cellular

    phones for Innamorati and registered the phones in Thompson's

    own company name.

    Innamorati distributed cocaine and marijuana to numerous

    individuals between summer 1985 and February 1988, including

    Thompson, William Letters, James Litterio, and John

    Boisoneau; each of these purchasers was assigned a beeper

    number in Innamorati's system. Callahan had a number of

    customers of his own during this period, including defendants

    Robert DeMarco Sr., Robert DeMarco Jr., Phillip Bargalla and

    Joseph Gilberti. Generally there was evidence that these





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    persons resold portions of the cocaine they purchased from

    Callahan or Innamorati to others.

    In November 1987 Jeffrey Scott, a nephew and cocaine

    customer of Callahan who was also in debt to Callahan,

    contacted the Drug Enforcement Agency ("DEA") and provided

    information about Callahan's activities. This began an

    extensive covert investigation into the Callahan/Innamorati

    operation. By late February 1988 the DEA had obtained enough

    information to execute a series of search warrants at the

    Hyperspace facility, Fitzgerald's and Callahan's residences,

    and the Edgewater Hills apartment. At the latter site the

    agents found two kilograms of cocaine and 75 pounds of

    marijuana, as well as drug distribution paraphernalia,

    records of drugs transactions and a small cache of weapons

    and ammunition.

    After a 32-day jury trial conducted from September to

    November 1990, all ten defendants in this appeal were

    convicted. In addition to the common conspiracy count, all

    defendants except Thompson and Bargalla were convicted of one

    or more counts of possession of cocaine or marijuana with

    intent to distribute in violation of 21 U.S.C. 841(a)(1);

    Bargalla was convicted of the lesser included offense of

    simple possession. In addition, Innamorati was convicted of

    using a firearm in relation to a drug trafficking offense in

    violation of 18 U.S.C. 924(c)(1), and of conducting a



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    continuing criminal enterprise in violation of 21 U.S.C.

    848.

    The ten defendants in this appeal raise numerous

    separate issues relating either to conviction or sentence.

    In certain instances, claims of error are made but only

    cursorily discussed. Where appropriate we have invoked "the

    settled appellate rule that issues adverted to in a

    perfunctory manner, unaccompanied by some effort at developed

    argumentation, are deemed waived." United States v. Zannino,
    _____________ _______

    895 F.2d 1, 17 (1st Cir.), cert. denied, 494 U.S. 1082
    _____________

    (1990). Because a number of the claims overlap, we discuss

    them by subject.

    II. SEVERANCE

    Innamorati, Thompson, Grady, DeMarco Sr., DeMarco Jr.,

    Bargalla, and Gilberti challenge the district court's denial

    of their motions to sever each of their trials from those of

    their co-defendants. Defendants argue that severance was

    necessary to protect them from prejudice and the possibility

    that the jury would fail to consider the evidence separately

    as to each defendant.

    Prejudice from joinder can come in various forms,

    including jury confusion, the impact of evidence that is

    admissible against only some defendants, and "spillover"

    effects where the crimes of some defendants are more horrific

    or better documented than the crimes of others. But joinder



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    is normally economical--especially where defendants are

    charged with the same core crime--and clear instructions can

    often confine the risk of prejudice. Accordingly, it is

    settled that defendants are not entitled to severance merely

    because it would improve their chances of acquittal; rather,

    substantial prejudice "amounting to a miscarriage of justice"

    must be proved before a severance is mandatory. United
    ______

    States v. Sabatino, 943 F.2d 94, 96-97 (1st Cir. 1991). We
    ______ ________

    review the refusal of a trial court to grant a severance for

    abuse of discretion, United States v. Johnson, 952 F.2d 565,
    _____________ _______

    581 (1st Cir. 1991), cert. denied, 113 S. Ct. 58 (1992), and
    ____________

    we find no such abuse in this case.

    Despite the number of defendants, there is no indication

    of jury confusion in this case. The government in summing up

    separated the evidence as to each defendant. The trial judge

    gave the customary instruction, emphasizing that each

    defendant must be judged separately based on the evidence

    admissible against that defendant. The jury apparently found

    itself capable of distinguishing: it acquitted one

    defendant--Thomas Agnitti, who is not a party to this appeal-

    -on the conspiracy count and on other counts convicted two

    defendants (Agnitti and Bargalla) only on lesser included

    offenses.

    Innamorati aside, none of the defendants points to any

    specific evidence that significantly inculpated that



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    defendant but was admissible only against another defendant.

    Indeed, the core of the case was the alleged common

    conspiracy; thus, after the necessary foundation, most of the

    evidence of wrongdoing by one conspirator was admissible

    against other conspirators as well. Nor is this a case in

    which separable acts of an individual defendant are so

    disproportionately heinous that there is an arguable taint

    merely from the association among defendants. In sum, for

    everyone apart from Innamorati, this is a garden-variety

    joinder almost routine in drug conspiracy cases. Innamorati

    does point to evidence that he argues was harmful to him but

    properly admissible only as to another defendant, namely, the

    grand jury testimony of Thompson. In our view, this grand

    jury testimony was not admissible against Innamorati; but,

    for reasons discussed in part IV, we also conclude also that

    Innamorati is not entitled to a reversal on account of this

    testimony.

    III. SUFFICIENCY OF THE EVIDENCE

    Thompson, Grady, Letters, DeMarco Jr., Bargalla,

    Litterio and Gilberti argue that the evidence introduced at

    trial was insufficient to support their convictions.2



    ____________________

    2Innamorati also raises this issue in his brief, but
    only by asserting in conclusory terms that the evidence was
    insufficient to establish his guilt. Ordinarily, this claim
    would be waived but in this instance we necessarily consider
    the weight of the evidence against him in part IV as part of
    our harmless error analysis.

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    Defendants bear the heavy burden of demonstrating that no

    reasonable jury could have found them guilty beyond a

    reasonable doubt. See Rivera-Santiago, 872 F.2d at 1078-79.
    ___ _______________

    An appellate court must view the evidence in the light most

    favorable to the prosecution, "drawing all plausible

    inferences in its favor and resolving all credibility

    determinations in line with the jury's verdict." United
    ______

    States v. David, 940 F.2d 722, 730 (1st Cir.), cert. denied,
    ______ _____ ____________

    112 S. Ct. 605 (1991). We conclude that, with one exception,

    the prosecution offered evidence adequate to support the

    convictions.

    A. William Thompson

    Thompson was convicted of conspiracy to distribute and

    to possess with intent to distribute cocaine and marijuana,

    in violation of 21 U.S.C. 846 and 841(a)(1). Conviction

    for conspiracy requires proof that the defendant entered into

    an agreement with another to commit a crime, here, an

    agreement with Innamorati to distribute cocaine and

    marijuana. United States v. Concemi, 957 F.2d 942, 950 (1st
    _____________ _______

    Cir. 1992). This agreement need not be expressed; it "may be

    implicit in a working relationship between the parties that

    has never been articulated but nevertheless amounts to a

    joint criminal enterprise." United States v. Moran, 984 F.2d
    _____________ _____

    1299, 1300 (1st Cir. 1993).





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    There was evidence--in fact, Thompson admitted in his

    testimony before the grand jury--that Thompson provided

    "registry checks" of license plates at Innamorati's request.

    When Innamorati became suspicious of vehicles that he thought

    were following him or that were being used by prospective

    drug purchasers, he asked Thompson, a former police officer,

    to run the plates through the state's computer registry. If

    the registry check came back "not on file" or "no response,"

    Innamorati had reason to believe that the vehicle belonged to

    a law enforcement agency and was being driven by an

    undercover agent. Thompson also admitted that he acquired

    two cellular telephones for Innamorati's use which Thompson

    leased in his own company's name.

    Relying primarily on Direct Sales Co. v. United States,
    ________________ _____________

    319 U.S. 703, 709 (1943), Thompson argues that there was

    insufficient evidence that Thompson knew of the use to which

    Innamorati put these goods and services, or that Thompson

    intended that they be used in that manner. But Thompson

    admitted in testimony before the grand jury that he regularly

    purchased cocaine from Innamorati when he was employed as a

    police officer from 1970 to 1978. Tulowiecki testified that

    he regularly distributed cocaine to Thompson from Innamorati

    in 1987. Thompson was assigned a beeper number in

    Innamorati's communications network. Thompson also admitted





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    that he knew that the cellular telephones he provided were to

    be used to "elude law enforcement."

    Thompson argues vehemently that he could not have been a

    full-fledged conspirator because he was excluded from certain

    locations at which Innamorati stored his drugs, and because

    Callahan and Fitzgerald could not identify him at trial.

    These facts do not defeat Thompson's membership in the

    conspiracy. It is black-letter law that one need not be

    familiar with every other person with whom he is found to

    have conspired, nor must he participate in the conspiracy to

    the same extent as all others. See United States v. Rios,
    ___ _____________ ____

    842 F.2d 868, 873 (6th Cir. 1988), cert. denied, 488 U.S.
    ____ ______

    1031 (1989); United States v. Giry, 818 F.2d 120, 127 (1st
    _____________ ____

    Cir.), cert. denied, 484 U.S. 855 (1987). Taken as a whole,
    ____ ______

    the evidence allowed the jury to find that Thompson was a

    knowing member of the drug conspiracy.
    B. James Grady

    The evidence showed that Grady brought numerous

    shipments of cocaine and marijuana from Florida to Callahan

    and Innamorati in Massachusetts. Several witnesses,

    including Callahan, Fitzgerald and Reilly, described in

    consistent detail Grady's practice of transporting the

    cocaine and the cash in a tool box in the cab of his tractor-

    trailer. There was also ample evidence that Grady knew that

    the shipments contained narcotics. Fitzgerald testified that

    he told Grady that the tool box contained cocaine. Reilly



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    recounted one occasion on which Grady watched while bales of

    marijuana were loaded onto his truck. Evidence showed that

    Grady occasionally brought large amounts of cash from

    Massachusetts to Florida to pay Reilly.

    In the face of this testimony, Grady contends that the

    evidence was insufficient to convict him of conspiracy to

    distribute. He argues that Callahan and Innamorati had

    suppliers other than Reilly and that even as to Reilly there

    were other couriers in addition to Grady. He also points out

    that although the conspiracy allegedly continued from 1984

    until November 1988, the evidence of his participation was

    limited to the period between June 1985 and February 1988.

    But Grady need not have been the exclusive courier in order

    to be a conspirator, nor must he have been involved in the

    conspiracy during the entire life of the operation. See,
    ___

    e.g., United States v. Baines, 812 F.2d 41, 42 (1st Cir.
    ____ _____________ ______

    1987). We have no trouble finding the evidence adequate to

    support Grady's conspiracy conviction.

    In addition to conspiracy Grady was also convicted under

    counts three and four of the indictment of possession of

    cocaine on February 25 and 27, 1988, with intent to

    distribute. These were the dates on which DEA agents

    executed the search warrants on the Hyperspace facility and

    the Edgewater Hills apartment, respectively. The

    government's theory at trial was that Grady was guilty of



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    possessing the cocaine found at these locations because he

    had carried that cocaine from Florida in his tractor-trailer.

    Although Grady was linked to the cocaine found in the

    Hyperspace facility, we agree with Grady that there was

    insufficient evidence that he ever possessed the cocaine

    found in the Edgewater Hills apartment.

    Callahan testified that he gave Grady a toolbox

    containing three kilograms of cocaine in Florida on February

    20, 1988, and that on February 24 he retrieved the toolbox

    from Grady in Massachusetts and drove to the Hyperspace

    storage facility. The next day, the government executed the

    search warrant at the facility and seized exactly three

    kilograms of cocaine. It is difficult to see, therefore, how

    the cocaine seized a few days later from the Edgewater

    apartment could also have come from Grady's February 20

    shipment. The government argues that Callahan also testified

    that he brought the toolbox with him to the Edgewater

    apartment after leaving Hyperspace. Thus, the government

    says, "[w]hile the evidence on [this] score may be open to

    dispute," that dispute was for the jury to resolve.

    It is true that Callahan's testimony is unclear--one

    cannot tell whether he stored the three kilograms at

    Hyperspace, or took them with him when he left there and went

    to the Edgewater apartment. But the testimony of Scott, who

    accompanied Callahan, is clear on this point. Scott



    -26-
    -26-















    testified that Callahan took the cocaine out of the toolbox,

    placed it in the trunk of the car in the Hyperspace storage

    compartment, and then left the facility with the toolbox, now

    emptied of its drugs. The testimony is also clear that only

    three kilograms were transported by Grady on this trip, and

    that exactly three kilograms were seized by federal agents a

    few days later from the Hyperspace facility.

    It is of course quite possible, indeed likely, that at

    least some of the cocaine found in the Edgewater apartment

    was a remnant of a prior shipment by Grady. But this is

    conjecture. The government does not advance the theory here,

    nor did it do so before the jury, and there was evidence of

    other suppliers and couriers. Accordingly, finding no

    evidence to support Grady's conviction for possessing the

    cocaine seized on February 27, we reverse his conviction on

    count four. This may have no effect on Grady's actual

    sentence, since the counts were grouped and the sentence was

    based on the volume of drugs foreseen; but out of an

    abundance of caution we remand his case to the district court

    for resentencing.

    C. William Letters

    Letters was convicted of conspiracy and one count of

    possession with intent to distribute. He argues that there

    was insufficient evidence to prove he that entered into an

    agreement to distribute narcotics. He concedes that the



    -27-
    -27-















    evidence showed a number of deliveries of cocaine to him from

    Innamorati (via Tulowiecki), in amounts ranging from nine

    grams to, on one occasion, as much as an ounce (28 grams).

    But Letters says that the evidence also showed that he was a

    very heavy personal user of cocaine. He argues that there is

    no basis for an inference that he was involved in further

    distribution of the drugs he acquired. Thus, according to

    Letters, "[t]he government's proof only demonstrated that

    Letters was a regular customer of Innamorati for personal

    use." We need not decide when and whether "a regular

    customer" buying for personal use could be treated as a

    conspirator in a drug distribution ring, see Moran, 984 F.2d
    ___ _____

    at 1302-04, because the evidence permitted the jury to find

    that Letters also distributed portions of the large amount of

    cocaine he purchased from Innamorati. During direct

    examination of Tulowiecki, the following exchange took place:

    Q. And how did you package the cocaine for
    Letters?

    A. Well, with Bill Letters, we would take nine
    grams of cocaine and put in five grams of cut.[3]
    And I grind that all together, and it would come
    out to fourteen. And I would put these all into
    individual packages. And one, another specific
    package for Bill Letters himself that was pure
    cocaine.

    . . . .



    ____________________

    3 Various witnesses explained during trial that "cut"
    refers to additives that were mixed into the cocaine to
    increase its volume and, potentially, its resale value.

    -28-
    -28-















    Q. Why did [Innamorati] want you to package the
    cocaine this way [for Letters]?

    A. Because Billy Letters didn't have a scale. .
    . .

    From Tulowiecki's reference to individual packaging and

    to a separate package of cocaine "for Bill Letters himself,"

    there is certainly a permissible inference that the other

    individual packages were destined to be resold to others.

    This inference is reinforced by the use of "cut" and by the

    large volume of cocaine that Letters acquired, shown by

    Tulowiecki's records to be a total of 336.5 grams of cocaine

    between June 1987 and February 1988. Accordingly, Letters'

    convictions for conspiring to distribute cocaine and for

    possessing cocaine with intent to distribute were supported

    by adequate evidence.

    D. Robert DeMarco Jr.

    DeMarco Jr. was convicted of conspiracy and possession

    of cocaine with intent to distribute. His challenge goes

    less to the quantity of the evidence in support of these

    convictions as to its quality. He argues that the evidence

    was deficient because the government did not catch him in the

    act, such as by recording his telephone conversations or

    conducting a controlled buy from him, but instead relies

    entirely on "weak circumstantial evidence." The evidence may

    not be overwhelming but it is sufficient.





    -29-
    -29-















    Both Callahan and Scott described repeated deliveries of

    cocaine to DeMarco Jr. In addition, Callahan testified that

    DeMarco Sr. told him that between May 1987 and February 1988,

    DeMarco Jr. was selling ounces, half-ounces and quarter-

    ounces of cocaine to his (DeMarco Jr.'s) various customers,

    and complained that DeMarco Jr. was putting all the profits

    "up his nose." In addition, Scott testified that after

    Callahan was arrested, DeMarco Jr. complained that he

    (DeMarco Jr.) was supposed to receive the briefcase in which

    Callahan had stored a quantity of cocaine to conceal it from

    the DEA. The evidence was adequate to find that DeMarco Jr.

    entered into an agreement to distribute cocaine and possessed

    cocaine with intent to distribute it.

    E. Philip Bargalla

    Bargalla was convicted of conspiracy to distribute, but

    acquitted of the substantive count of possession of cocaine

    with intent to distribute (the "PWI" count) and instead

    convicted of the lesser included offense of simple

    possession. Bargalla argues that there was inadequate

    evidence that he entered into a conspiracy to distribute and

    that, especially in light of his acquittal of the PWI

    offense, the conspiracy conviction must have resulted from

    prejudicial "spillover." Bargalla argues that a conspiracy

    cannot fairly be inferred from the facts that Bargalla took

    possession of Callahan's briefcase after Callahan's arrest,



    -30-
    -30-















    and was in possession of Callahan's car at the time it was

    seized by the DEA.

    The short answer is that additional evidence showed that

    Bargalla was a regular purchaser of cocaine and marijuana

    from Callahan and a distributer in his own right. For

    example, Jeffrey Scott testified that he made about five

    deliveries of marijuana to Bargalla from Callahan in 1987,

    and Callahan confirmed that he sold cocaine and marijuana to

    Bargalla on a regular basis beginning in late 1985 or early

    1986. Moreover, there was evidence that Bargalla resold some

    of the narcotics he acquired from Callahan. Scott testified

    that he saw distribution paraphernalia -- a small scale and

    chemicals such as Inositol that are used to mix with cocaine

    to increase its volume -- in Bargalla's bedroom. Scott also

    testified that Bargalla complained that people were not

    paying him on time for the cocaine and marijuana that

    Bargalla provided them.

    This evidence was more than sufficient to support

    Bargalla's conviction for conspiring to distribute cocaine

    and marijuana. The testimony concerning the briefcase and

    Callahan's car merely served to corroborate Bargalla's close

    relationship with Callahan and his organization. The jury's

    favorable treatment of him on the PWI count may or may not be

    a windfall but it cannot be used to impeach the conspiracy

    conviction. See United States v. Senibaldi, 959 F.2d 1131,
    ___ _____________ _________



    -31-
    -31-















    1135 (1st Cir. 1992) ("inconsistency in a criminal verdict is

    not grounds for overturning it").

    F. James Litterio

    Litterio does not question the sufficiency of the

    evidence to support his conviction for conspiracy. Instead,

    he challenges the evidence with respect to count five, under

    which he and Innamorati were convicted of possession with

    intent to distribute cocaine on or about September 2, 1987.

    We find the evidence sufficient.

    The primary evidence supporting the possession charge

    was the testimony of Tulowiecki, who described a four-ounce

    purchase of cocaine by Litterio from Innamorati shortly

    before September 2, 1987. Tulowiecki testified in detail

    that he and Innamorati packaged four ounces of cocaine,

    delivered the package to Litterio, and received the $5300

    payment several days later. Tulowiecki also testified that

    in the course of arranging this transaction Litterio said

    that he wanted the four ounces of cocaine for his brother

    Mark. In addition, in January 1989 Tulowiecki secretly

    recorded a conversation with Litterio in which Litterio

    referred to the four-ounce transaction.

    Litterio argues at length that Tulowiecki's testimony

    was inherently unreliable and uncorroborated. The

    credibility of Tulowiecki's testimony was a matter for the

    jury to resolve. As it happens, there was evidence that Mark



    -32-
    -32-















    Litterio visited James Litterio immediately after the latter

    acquired the drugs, and further evidence that Mark Litterio

    was involved in the sale of four ounces of cocaine to

    undercover officers just after James Litterio's four-ounce

    purchase from Innamorati. The jury could easily conclude

    that James Litterio provided the four-ounce package to Mark

    after acquiring it from Innamorati.

    G. Joseph Gilberti

    Gilberti argues that evidence of "isolated sales" of

    cocaine from Callahan or Scott to Gilberti is not sufficient

    to convict Gilberti of participation in a conspiracy to

    distribute. The evidence, however, showed more than mere

    "isolated sales;" it showed that Gilberti was another cog in

    the Callahan/Innamorati machine.

    Scott testified that he delivered cocaine to Gilberti

    for Callahan in 1986, generally in one to two-ounce

    quantities. He testified that he made approximately 25 to 50

    deliveries of this nature to Gilberti over a six-month

    period, including one four-ounce delivery. Callahan

    confirmed that Gilberti was one of the individuals to whom he

    delivered cocaine. Gilberti developed a code with Scott and

    Callahan so that he could order drugs over the telephone

    without detection; he would refer to "green buckets of paint"

    when ordering marijuana, and "white buckets of paint" when

    requesting cocaine.



    -33-
    -33-















    There was also evidence that the distribution of the

    cocaine did not end when it reached Gilberti. Scott

    testified that he gave Gilberti drug distribution

    paraphernalia-- including a scale, ziploc bags and other

    packaging, and sudocaine, a product used to mix with cocaine-

    -and showed Gilberti how to use these items. Callahan

    testified that Gilberti told him that he, Gilberti, had been

    distributing cocaine to an individual named Ricky Green.

    The evidence was adequate to support Gilberti's conviction

    for conspiracy and possession of cocaine with intent to

    distribute. The same evidence supported the forfeiture of

    Gilberti's property under 21 U.S.C. 853, since his only

    challenge to that forfeiture is that the evidence underlying

    the conspiracy conviction was deficient.

    IV. GRAND JURY TESTIMONY OF WILLIAM THOMPSON

    On June 22, 1988, Thompson testified at length before

    the grand jury about the drug distribution conspiracy in this

    case. Thompson's testimony consisted almost entirely of the

    government's recitation of a prior statement made by Thompson

    to a DEA agent, interspersed at intervals with Thompson's

    confirmation of the truth of the prior statement, sometimes

    with qualifications. Some of this testimony incriminated

    Thompson himself, but a great deal of the testimony

    incriminated certain of his co-defendants, particularly





    -34-
    -34-















    Innamorati. Thompson was subsequently indicted by the grand

    jury along with the other defendants in this case.

    At trial, Thompson elected not to testify. The court,

    over defendants' objections, permitted the government to read

    into evidence the entire transcript of Thompson's grand jury

    testimony. Innamorati, Grady, Boisoneau and, surprisingly,

    Thompson himself claim that this testimony was inadmissible

    hearsay and that its introduction was reversible error. The

    defendants also argue that the introduction of this evidence

    violated their Sixth Amendment right to confront the

    witnesses against them, but this amounts to the same argument

    dressed in different garb.4

    A. Admissibility

    The basis for the district court's admission of

    Thompson's grand jury testimony is not entirely clear from

    the record. At one point, the court stated:

    I'm going to allow . . . [the grand jury testimony]
    in evidence and instruct the jury the conversations
    pertaining to Thompson are admitted at this point
    only against Thompson. Unless and until there is
    other evidence that connects the other named


    ____________________

    4The admission of an out-of-court statement falling
    within a "firmly rooted" exception to the hearsay rule does
    not violate the Confrontation Clause. See Bourjaily v.
    ___ _____________
    United States, 483 U.S. 171, 182-83 (1987); Ohio v. Roberts,
    _____________ ____ _______
    448 U.S. 56, 66 (1980). Most courts have concluded that the
    declaration against interest exception embodied in Fed. R.
    Evid. 804(b)(3) is a "firmly rooted" exception to the hearsay
    rule. See, e.g., United States v. York, 933 F.2d 1343, 1363-
    ___ ____ _____________________
    64 & n.5 (7th Cir.), cert. denied, 112 S. Ct. 321 (1991).
    _____________
    Thus, the constitutional issue merges into the evidentiary
    question.

    -35-
    -35-















    defendants in this conspiracy, it's excluded
    against them.

    Shortly thereafter, in response to a renewed objection by

    defense counsel, the court ruled that "the grand jury

    testimony of William Thompson is allowed. It's allowed

    against Thompson. It's a declaration against interest, and

    I'll explain that to the jury." Id. at 62. No explanation
    __

    or limiting instruction was given to the jury.

    The only argument urged by the United States in this

    appeal to overcome the hearsay objection is that the grand

    jury testimony was a declaration against interest. Fed. R.

    Evid. 804(b)(3) excepts from the hearsay rule, when the

    declarant is unavailable as a witness,

    [a] statement which . . . so far tended
    to subject the declarant to civil or
    criminal liability . . . that a
    reasonable person in the declarant's
    position would not have made the
    statement unless believing it to be true.


    Thompson's invocation of the Fifth Amendment at trial

    rendered him "unavailable" for purposes of Rule 804(b)(3).

    See California v. Green, 399 U.S. 149, 168 n.17 (1970).
    ___ __________ _____

    Under the exception, a declaration against interest is

    admissible against anyone to whom the statement pertains.

    See United States v. Myers, 892 F.2d 642, 644 (7th Cir.
    ___ ______________ _____

    1990).

    Whether Thompson's grand jury testimony represents a

    statement against penal interest poses the question how


    -36-
    -36-















    broadly to define the concept of a "statement." One could

    describe the entire grand jury testimony as a single

    statement or, at the other extreme, could subdivide a single

    sentence ("John and I robbed the bank") into two different

    statements to be tested separately. Both the rationale of

    the exception--the trustworthiness of the unit to be

    admitted--and our own precedents yield no mechanical rule as

    to where, in between these extremes, the line is to be drawn.

    A further concern is that, even if a broad view is

    taken as to the scope of the "statement," a co-defendant who

    confesses to the authorities and inculpates another may be

    seeking to curry favor and cast the main blame upon another.

    Thus the "statement" as a whole may be very much in the

    interests of the confessing party who is minimizing his or

    her role. Some have urged a blanket exclusion of such

    confessions as inherently untrustworthy; early drafts of Rule

    804(b)(3) excluded "a statement or confession offered against

    the accused in a criminal case, made by a codefendant or

    other person implicating both himself and the accused." See
    ___

    generally 4 Weinstein & Berger, Weinstein's Evidence,
    _________ _____________________

    804(b)(3) [03] at 804-152 & n.42 (1992).

    We need not pursue these issues in depth. Thompson's

    lengthy grand jury testimony contains only a few statements

    that are directly against Thompson's penal interest--for

    example, his descriptions of procuring the cellular phones



    -37-
    -37-















    and checking license plate numbers--and even these could be

    innocent acts, were context ignored. If these inculpatory

    statements of Thompson were isolated from the rest, it would

    be hard to say that the balance of the grand jury testimony,

    especially the numerous accusations against Innamorati, were

    against Callahan's interest. Thus if the directly

    inculpatory statements are severed, little of the grand jury

    testimony would be against Thompson's interest and admissible

    against third parties.

    If the inculpatory statements are not severed, the same

    result prevails. Taken as a whole the testimony greatly

    minimizes Thompson's own role in any wrongdoing. He admitted

    a few acts of logistical assistance, doubtless hoping to

    maintain (as he does here) that they were innocently

    motivated. But the thrust of the testimony is that others

    were guilty of wrongdoing from which Thompson himself had

    been excluded but happened to have some knowledge. Although

    later the extent of this knowledge could be turned into an

    inference harmful to his interests, it is difficult to view

    the testimony as a whole as consciously contrary to

    Thompson's self-interest at the time it was made. "[F]or the

    declaration to be trustworthy the declarant must have known

    it was against his interest at the time he made the

    statement". Filesi v. United States, 352 F.2d 339, 343 (4th
    ______ _____________

    Cir. 1965).



    -38-
    -38-















    In sum, the bulk of the testimony did not qualify as a

    declaration against penal interest. As to Thompson, anything

    he said constituted an admission so there was no error in

    receiving the grand jury testimony as to him. Fed. R. Evid.

    801(d)(2)(A). But as to the other defendants, most of the

    testimony was both hearsay and outside the scope of Rule

    804(b)(3)'s exception. We need not consider whether a

    limiting instruction would have been a sufficient safeguard

    to allow the testimony against Thompson but not the others,

    compare Bruton v. United States, 319 U.S. 123 (1968), since
    _______ ______ ______________

    no such instruction was given.

    B. Prejudice

    Since error was committed in allowing the grand jury

    testimony except as to Thompson, the only remaining question

    is whether it was prejudicial as to the other defendants who

    complain of its admission: Innamorati, Grady, and Boisoneau.

    On direct appeal, in the case of a constitutional error (as

    this one may be viewed in light of the Confrontation Clause),

    the test for harmless error is a demanding one. The

    appellate court must be persuaded beyond a reasonable doubt

    that the jury's verdict was not attributable to the

    challenged evidence. See Harrington v. California, 395 U.S.
    ___ __________ __________

    250, 254 (1967); Milton v. Wainwright, 407 U.S. 371, 377-78
    ______ __________

    (1972); United States v. Figueroa, 976 F.2d 1446, 1455 (1st
    _____________ ________

    Cir. 1992), cert. denied, 113 S. Ct. 1346 (1993).
    ____________



    -39-
    -39-















    This test is, and ought to be, stringently applied,

    resolving all reasonable doubts against the government, since

    it comes close to a trespass upon the jury's function. But

    the case law is clear that, if the legitimate evidence

    unquestionably assured the jury's verdict of conviction, the

    error in admitting other evidence is not normally grounds for

    reversal. Harrington, 395 U.S. at 256; Figueroa, 976 F.2d at
    __________ ________

    1455.5 Nor is this harmless error test confined to

    inadmissible evidence so slight or duplicative that one can

    assume that the jury scarcely noticed it. The wrongfully

    admitted evidence must be "quantitatively assessed in the

    context of other evidence presented . . . ." Sullivan, 61
    ________

    U.S.L.W. at 4519 (quoting Arizona v. Fulminante, 111 S. Ct.
    _______ __________

    1246, 1264 (1991)). Even where the wrongfully admitted

    evidence is singular and weighty, it can still be "harmless"

    where the legitimate evidence is overwhelming. E.g., Clark
    ____ _____

    v. Moran, 942 F.2d 24, 27 (1st Cir. 1991).
    _____

    Against this background, we conclude that the wrongful

    admission of the grand jury testimony did not alter the

    inevitable outcome of the case against Innamorati. We reach

    this conclusion only after a careful scrutiny of the record,



    ____________________

    5Errors that the Supreme Court deems to warrant
    automatic reversal are rare. See, e.g., Sullivan v.
    ___ ____ ________
    Louisiana, 61 U.S.L.W. 4518 (June 1, 1993) (improper
    _________
    reasonable doubt instruction); Chapman v. California, 386
    _______ __________
    U.S. 18, 23 n.8 (1966) (denial of right to counsel or
    partiality of trial judge).

    -40-
    -40-















    for the grand jury testimony inculpates Innamorati in a

    number of respects that are neither trivial nor literally

    duplicative of other evidence. Among other things Thompson

    testified that:

    Mr. Innamorati sold marijuana while in high
    school . . . . Around 1970 . . . [he] developed a
    large distribution network which comprised of [sic]
    many residents of Clinton and Lancaster,
    Massachusetts.

    [I]n 1985 Mr. Innamorati was arrested by the
    Massachusetts State Police [while in possession of
    cocaine and he later boasted that he] had paid his
    attorney . . . several thousand dollars to fix the
    charges against Mr. Innamorati.

    [I]n the fall of 1987, [I] became aware that both
    Innamorati and Tulowiecki purchased automatic
    pistols and possessed these pistols when making
    drug transactions. On several occasions, [I] saw
    Innamorati and Tulowiecki before and after drug
    deals and they were always carrying the pistols.

    Tulowiecki also told [me] that Innamorati sent
    Paula [sic] Bufton [Innamorati's companion] to the
    corrections facility to visit Tulowiecki, and
    during the meeting, Bufton told Tulowiecki that
    Innamorati put aside one hundred thousand dollars
    for any legal aid that Tulowiecki would incur . . .
    . [Bufton told] Tulowiecki to be patient and
    don't fold. That Tulowiecki would be taken care of
    if he did the right thing.

    Nevertheless, the case against Innamorati was

    overwhelming and it is no accident that his "insufficiency of

    the evidence" argument on this appeal is confined to

    conclusory assertions. No less than seven persons testified

    from personal knowledge that Innamorati was engaged in

    cocaine and marijuana dealing, including among others his

    partners (Callahan and Fitzgerald), his companion (Pamela


    -41-
    -41-















    Bufton), and his lieutenant and record-keeper (Tulowiecki).

    Drugs and money were confided by Innamorati to his friend

    James Casasanto for safe-keeping when the authorities closed

    in on the ring; and drugs, weapons, paraphernalia, and

    records were found in the Edgewater apartment that Tulowiecki

    maintained at Innamorati's behest.

    In fact, the case against Innamorati--who stood at the

    center of the ring's spider web--was a composite of

    individual cases against other ring members, reinforced by

    additional evidence against Innamorati. All of the other

    ring members on this appeal played smaller parts but were

    convicted on the conspiracy charge by the jury. Most of

    these persons were not directly implicated by Thompson's

    grand jury testimony or the testimony was at most duplicative

    as to them. It defies belief that the jury, faced with the

    aggregate of evidence against Innamorati, would have

    acquitted him of conspiracy if the grand jury testimony had

    been deleted from the record.

    The remaining convictions against Innamorati stand on

    the same footing. To establish a continuing criminal

    enterprise under 21 U.S.C. 848, the government needed to

    show only that Innamorati committed a continuing series of

    violations of the federal narcotics laws and that he managed

    or organized five or more individuals. See United States v.
    ___ _____________

    David, 940 F.2d at 732. Without considering Thompson's
    _____



    -42-
    -42-















    testimony, the evidence showed continuing violations and that

    more than five persons acted at Innamorati's direction. The

    individual possession counts against Innamorati were not

    significantly bolstered by the Thompson testimony and the

    weapons count--which Thompson corroborates--was supported by

    ample and untainted evidence from other witnesses. We

    conclude that the grand jury testimony was, as to Innamorati,

    harmless beyond a reasonable doubt.

    Turning to Boisoneau, Thompson's grand jury testimony

    contains only two references to him. Near the conclusion of

    his testimony, Thompson identified Boisoneau as one of

    several "customers of Innamorati," and stated that he was

    present at times when Innamorati supplied cocaine to these

    customers. A short time later, Thompson testified that

    Boisoneau and the other "customers" that he had identified

    "were just weekend users," as opposed to distributors. Id.
    __

    at 114. These two statements were harmless beyond a

    reasonable doubt in light of the abundant independent

    evidence of Boisoneau's cocaine use and of his relationship

    with Innamorati.

    Tulowiecki testified that Boisoneau was one of

    Innamorati's customers; that Tulowiecki had personally

    delivered cocaine to Boisoneau; that Boisoneau was assigned

    beeper number 004 in Innamorati's communications network; and

    that Boisoneau visited Tulowiecki in prison and relayed a



    -43-
    -43-















    message from Innamorati regarding the importance of "keeping

    [Tulowiecki's] mouth shut." Records kept by Tulowiecki of

    Innamorati's drug sales showed that Boisoneau purchased a

    total of 19 grams of cocaine between September 1987 and

    January 1988. Other witnesses, such as Pamela Bufton and

    James Casasanto, also provided incriminating evidence.

    Bufton, for example, testified that Boisoneau had aided in a

    delivery of cocaine to Innamorati.

    It is fair to say that, as to Boisoneau, Thompson's

    testimony ("just [a] weekend user[]") was almost favorable.

    That Boisoneau was a customer no one could fairly doubt. The

    additional detail that made a conspiracy charge plausible

    came almost entirely from others whom the jury chose to

    believe.

    Finally, as to Grady, we have scoured the thirty pages

    of Thompson's grand jury testimony and are unable to find a

    single reference to Grady. Grady in his brief does not

    suggest any way in which he was directly prejudiced by the

    admission of this evidence. We have no trouble, therefore,

    concluding that the admission of the grand jury testimony was

    harmless as to Grady.

    V. VARIANCE

    Boisoneau argues that a "variance" between the facts

    alleged in the indictment and the facts adduced at trial

    prejudiced his ability to defend the charges against him.



    -44-
    -44-















    Although he uses the language of variance, Boisoneau's entire

    argument is devoted to the contention that the government

    introduced evidence at trial in addition to the evidence
    __ ________ __

    listed as overt acts in the indictment and presented to the

    grand jury.

    The indictment sets forth 44 paragraphs of overt acts in

    support of the alleged conspiracy. Paragraph 36 alleges

    that, between May 1, 1987, and early 1988, Tulowiecki

    distributed multi-ounce quantities of cocaine per month to

    several buyers, including Boisoneau. Paragraph 37 alleges

    that Tulowiecki's records show that Boisoneau purchased a

    total of 12 grams of cocaine between September 27 and October

    23, 1987. Boisoneau does not contend that the government

    failed to prove these allegations at trial. Instead, he

    argues that he was charged only with these acts, and that the
    ____

    government "varied" from the indictment by offering

    additional evidence, such as testimony that Boisoneau placed

    cocaine in the trunk of a car that was to be driven to Maine

    where Innamorati was staying, and testimony that Boisoneau

    introduced Tulowiecki to two individuals who wanted to

    purchase cocaine.

    Boisoneau misapprehends the law. The government need

    not recite all of its evidence in the indictment, nor is it

    limited at trial to the overt acts listed in the indictment.

    E.g., United States v. Ellender, 947 F.2d 748, 755 (5th Cir.
    ____ _____________ ________



    -45-
    -45-















    1991). The indictment charged all defendants, including

    Boisoneau, with engaging in a conspiracy to distribute

    cocaine and marijuana between 1984 and 1988. The evidence

    complained of by Boisoneau falls squarely within the scope of

    that alleged conspiracy, both temporally and substantively.

    There is no variance.6

    VI. RESTRICTIONS ON CROSS-EXAMINATION

    A. Paul Callahan

    Callahan was originally joined in the indictment as a

    co-conspirator, but pleaded guilty prior to trial and was a

    principal government witness at trial. Defendants sought to

    impeach Callahan's credibility during cross-examination with

    evidence that he had engaged in a wide of variety of criminal

    acts throughout his life. The jury learned from the evidence

    that Callahan had worked as a safecracker, that he was

    convicted for a dozen specific acts of safecracking, that he

    was a bookmaker, a bank robber, a burglar, a drug dealer, and

    a perjurer, and that he spent much of his adult life--more

    than sixteen years--in prison. But the court excluded

    evidence relating to Callahan's participation in disposing of



    ____________________

    6In discussing the supposed variance, Boisoneau also
    alleges that the government failed to produce exculpatory
    evidence and questions the district court's denial of a
    motion for a bill of particulars. No effort is made to
    develop these issues, however, and we do not address them.
    Zannino, 895 F.2d at 17. For the same reason, we do not
    _______
    discuss Innamorati's brief and conclusory claim of improper
    variance.

    -46-
    -46-















    the bodies of two homicide victims in the 1960's, and to

    another incident in 1970 in which Callahan provided a

    silencer to another individual who later used the silencer in

    a shooting. Innamorati, Thompson, Grady, DeMarco Sr., and

    DeMarco Jr. argue that this ruling improperly limited their

    right of cross-examination and their Sixth Amendment right to

    confront witnesses against them.

    The trial judge apparently concluded that the references

    to the homicides and silencer, events 20 to 30 years in the

    past, were of limited importance in impeaching Callahan and

    created a risk of prejudice that outweighed any benefit from

    the evidence. The use of such ancient evidence merely to

    show bad character for veracity is doubtful, cf. Fed R. Evid.
    __

    609(b)(10-year-old felonies presumptively excluded), and in

    this case the excluded evidence was weak and largely

    cumulative so far as it cast an unflattering light on

    Callahan's character for veracity. Judgments of this kind

    are very much within the trial court's discretion. See
    ___

    United States v. Garcia-Rosa, 876 F.2d 209, 237 (1st Cir.
    _____________ ___________

    1989), cert. denied, 493 U.S. 1030, vacated on other grounds,
    ____________ _______ __ _____ _______

    498 U.S. 954 (1990). We see no abuse in excluding the

    evidence for this use.

    There is a somewhat more substantial use that might have

    been made of the evidence, namely, to suggest that Callahan

    could still be prosecuted for involvement in homicides,



    -47-
    -47-















    giving the government some hold over him. But there was no

    indication when the questions were sought to be asked in this

    case that the applicable statute of limitations still

    permitted prosecution or, even if it did, that federal

    authorities controlled the decision as to future prosecution.

    It is not even clear that the prior bad acts were offered to

    show that Callahan was subject to government pressure or that

    this objective was squarely presented to the district judge.

    In sum, we do not think that cross examination of

    Callahan was unreasonably restricted. Similarly, since a

    reasonable opportunity to test Callahan's veracity and

    motives was offered, no Confrontation Clause issue is

    presented. "Once the defendant has been afforded a

    reasonable opportunity" for such an inquiry, "the trial judge

    retains broad discretion in determining the scope or extent

    of cross examination." Garcia-Rosa, 876 F.2d at 237.
    ___________

    B. Sean McDonough

    Thompson challenges the district court's restrictions

    upon his cross-examination of DEA agent Sean McDonough. At

    trial, McDonough testified that the government had lost the

    only copy of a "corrected statement" that Thompson had

    provided to the DEA and that, according to Thompson,

    contained material exculpatory evidence. This statement may

    have been in McDonough's custody at the time it was

    misplaced. On cross-examination of McDonough, Thompson's



    -48-
    -48-















    counsel sought to show that, in a prior unrelated case, 86

    seconds mysteriously had been erased from an audio tape in

    McDonough's custody. The trial court sustained the

    government's objection to this line of inquiry.

    The intent of Thompson's counsel in inquiring about the

    erased tape was to suggest to the jury that in both

    instances--the missing 86 seconds and the misplaced DEA

    statement--Agent McDonough had deliberately concealed or

    destroyed material evidence. Counsel did not proffer any

    proof that the missing portion of the tape had been linked to

    misconduct by McDonough, nor was there any showing that the

    corrected statement in this case had been deliberately

    misplaced. Absent a foundation for this inquiry, the

    district court was justified under Fed. R. Evid. 403 in

    forbidding the question.

    VII. QUASHING OF SUBPOENAS OF SPRINGFIELD POLICE OFFICERS

    During direct examination, government witness Scott gave

    the following account of an incident that allegedly occurred

    during his cooperation with the DEA. On November 27, 1987,

    prior to Callahan's agreement to cooperate with the

    government, two DEA agents wired Scott with a hidden

    recording device and brought him to a bar to meet and record

    a conversation with Callahan. After the meeting, the agents

    agreed to allow Scott to stop by his girlfriend's house

    before returning to DEA headquarters. Scott went into the



    -49-
    -49-















    house--leaving the agents waiting in the car outside--and was

    arrested by officers of the Springfield police department who

    coincidentally were raiding the house as part of an unrelated

    investigation.

    According to Scott's testimony, one officer searched

    Scott and found nothing. Then a second officer searched

    Scott and purported to find vials of cocaine. Scott was

    taken to police headquarters and charged with possession of

    cocaine with intent to distribute. Scott testified that he

    did not have any cocaine in his possession on this occasion,

    and would never have carried cocaine in such a situation

    since he knew it was standard procedure for the DEA agents to

    search him thoroughly each time he returned to the vehicle.

    Scott testified that after being released by the Springfield

    police officers he contacted the DEA agents to complain about

    the arrest--he thought at first that the arrest had been a

    ploy by the DEA, in conjunction with the Springfield police,

    to get him "under their thumb"--and that subsequently the

    charges were dismissed and he was not prosecuted.7

    Following this testimony, several of the defendants

    sought to subpoena the Springfield police officers involved

    in this incident in an attempt to prove that Scott did in



    ____________________

    7The DEA agents testified that they too were approached
    by Springfield police officers while waiting in their car in
    front of the house. Not wanting to expose Scott's role in
    the investigation, they quickly departed.

    -50-
    -50-















    fact possess cocaine on that evening. The district court

    quashed the subpoenas, finding that the proposed testimony

    was inadmissible under Fed. R. Evid. 608(b), which provides

    that "[s]pecific instances of the conduct of a witness, for

    the purposes of attacking or supporting the witness'

    credibility, other than conviction of a crime as provided in

    rule 609, may not be proved by extrinsic evidence."

    Defendants argue that the officers' proposed testimony

    was not excluded by Rule 608(b), because defendants did not

    seek merely to impeach Scott's credibility through extrinsic

    evidence of a prior bad act but also sought to contradict a

    specific assertion made by him during his direct testimony,

    thereby showing that he had lied before the jury in the very

    case. Nevertheless, the proposed contradiction involved a

    matter collateral to the main issues in this trial, since the

    Springfield incident did not in any way involve any of the

    defendants or the charges against them. A court may, indeed

    normally does, preclude a party from proving with extrinsic

    evidence that a witness lied in court on a collateral matter.

    See United States v. Tejada, 886 F.2d 483, 489 (1st Cir.
    ___ _____________ ______

    1989); Walker v. Firestone Tire & Rubber Co., 412 F.2d 60, 63
    ______ ___________________________

    (2d Cir. 1969). Here, the district court was justified in

    preventing a major detour into this essentially irrelevant

    episode.





    -51-
    -51-















    Defendants say that the Springfield officers' testimony

    was relevant because it showed that Scott continued to use
    ___

    cocaine even after his cooperation with the DEA, which

    rebutted his testimony that he contacted the DEA because he

    "knew what we were doing was totally and completely wrong"

    and wanted "to make things right." But Scott admitted on

    cross-examination that he used cocaine long after he began to

    cooperate with the DEA, in fact up until a couple of months

    prior to the trial. Thus, the Springfield episode was at

    best cumulative evidence, and given the diversion involved to

    procure it, properly excluded as duplicative on this issue.

    Any claim by Scott as to the purity of his motive was

    undoubtedly discounted by the jury since Scott received

    $250,000 from the government, as well as other benefits.

    VIII. BELATED PRODUCTION OF DEA NOTES, AND
    TESTIMONY OF DEA AGENT O'BRIEN

    Edward O'Brien was a DEA agent who was involved in the

    early investigation of this case, but subsequently left the

    DEA under some sort of cloud; the circumstances of his

    departure from the agency are unclear. Early in the

    proceedings, the court granted the government's motion to

    exclude any reference to O'Brien at trial, stating: "I don't

    want him coming in and the government being prejudiced

    against [sic] because they had an agent who turned out bad.

    So we will kick that out."




    -52-
    -52-















    On the fifth day of trial, after the court made its

    initial decision to exclude O'Brien, the government produced

    to defendants notes made by DEA Agents McDonough and O'Brien

    during their initial debriefing of Scott. Contained within

    these documents was a notation that arguably reads "driver

    for Fitzgerald = Wall." Grady argued that the notes tended

    to exculpate him, since he was accused of being the truck

    driver for the conspiracy. His theory was that the notes

    indicated that the truck driver was actually an individual

    named Wally Barrett, whose name had surfaced on other

    occasions during the trial.

    Grady questioned Agent McDonough about the notation but

    McDonough testified that he was not present during the entire

    debriefing, that he believed this particular notation was

    made by Agent O'Brien, and that he (McDonough) knew nothing

    about it. Grady then asked the court either for dismissal or

    a mistrial based on the belated disclosure of the exculpatory

    evidence or, alternatively, for permission to call Agent

    O'Brien in light of these new developments. The court denied

    both of these requests. Grady argues, first, that the

    belated disclosure of the DEA notes violated Brady v.
    _____

    Maryland, 373 U.S. 83 (1963), and deprived him of fair trial;
    ________

    and second, that the court's exclusion of Agent O'Brien

    further compounded this violation.





    -53-
    -53-















    We agree that the "Wall" notation constituted

    exculpatory evidence within the meaning of Brady. It
    _____

    provided Grady with a basis for arguing, or at least

    developing evidence to show, that "Wally" and not Grady was

    the truck driver. However, in cases of belated disclosure,

    as opposed to outright non-disclosure, of exculpatory

    evidence, "the critical inquiry is . . . whether the

    tardiness prevented defense counsel from employing the

    material to good effect." United States v. Devin, 918 F.2d
    _____________ ______

    280, 290 (1st Cir. 1990). Here, the notation was produced

    early in the trial, well before the start of defendants' case

    (indeed, prior to cross-examination of the government's first

    witness). We do not believe that Grady was prevented from

    making good use of the information or otherwise prejudiced by

    the delay.8

    Although Grady argues that he was prejudiced by being

    deprived of the opportunity to investigate the "Wall"

    reference prior to trial, he never asked the trial court for

    a continuance to allow him to investigate the reference. We

    have held it "incumbent upon a party faced with such a

    situation to ask explicitly that the court grant the time


    ____________________

    8There is no indication that the notation was withheld
    in bad faith or deliberately suppressed. The disputed
    notation consists of one line in a voluminous collection of
    notes; the notation itself is difficult to decipher and is
    subject to different readings. Its exculpatory nature--even
    assuming defendants' reading is the correct one--is not
    immediately apparent.

    -54-
    -54-















    needed to regroup, or waive the point . . . ." United States
    _____________

    v. Diaz-Villafane, 874 F.2d 43, 47 (1st Cir.), cert. denied,
    ______________ ____________

    493 U.S. 862 (1989). Nor has Grady described any specific

    avenue of investigation that would have been pursued had the

    notation been disclosed earlier. Accordingly, we conclude

    that the belated disclosure of the "Wall" notation did not

    prejudice Grady and does not entitle him to a new trial.

    Grady contends that at the very least he should have

    been permitted to call Agent O'Brien to the stand to question

    him about the notation. The government's unsupported

    response that O'Brien "likely had little to add concerning

    the notes of the Jeffrey Scott debriefing" is not at all

    comforting. What O'Brien might have added is that Scott did

    say that the driver referred to was Wally Barrett,

    information that would be helpful to Grady if it were
    __

    admissible for its truth. But Scott's statements to O'Brien

    during the debriefing would have been inadmissible hearsay if

    offered for their truth (as opposed to impeachment). Thus,

    the exclusion of O'Brien did not prejudice Grady in this

    respect.

    The only apparent use that Grady could have made at

    trial of the "Wall" notation would have been to impeach

    Jeffrey Scott's testimony. Scott testified that he did not

    know the name of Innamorati's driver; Grady could have asked

    him on cross-examination whether he recalled telling the DEA



    -55-
    -55-















    that the driver's name was Wally. Grady sought to call

    O'Brien to the stand to question him about the notation, but
    _______

    he never sought to recall Scott for further cross -

    examination once the notes were produced. If Scott had been

    asked about the "Wall" statement and denied making it, then

    Grady might have been entitled to call O'Brien in an effort

    to prove that Scott in fact made the statement. Absent any

    effort by Grady to cross-examine Scott on the point, we

    cannot see how the court's refusal to involve O'Brien

    prejudiced Grady.9

    IX. PAYMENTS TO WITNESS

    Scott, a key witness for the prosecution, received

    $250,000 from the government prior to trial for his

    cooperation as well as immunity from prosecution and

    enrollment in the federal witness protection program. The

    $250,000 payment was made pursuant to a DEA program that

    awards twenty percent of the value of seized assets to

    parties who are instrumental in successful investigations.



    ____________________

    9Grady also complains of the district court's denial of
    his motion for a mistrial based on a violation of the court's
    sequestration order. The violation occurred when the
    government permitted Fitzgerald and Callahan to converse
    together in the prosecutor's office after Callahan's
    testimony but prior to Fitzgerald's. The district court held
    a voir dire, rebuked the government, but refused to declare a
    mistrial. Briefly addressing this issue, Grady provides no
    persuasive explanation for his claim of prejudice and we do
    not think that the trial court abused its discretion in
    denying the mistrial motion. See United States v. Rossetti,
    ___ _________________________
    768 F.2d 12, 16 (1st Cir. 1985).

    -56-
    -56-















    Gilberti argues that these benefits conferred upon Scott were

    so likely to induce perjury that they infringed upon

    defendants' right to a fair trial, and he points to our

    dictum in United States v. Dailey, 759 F.2d 192 (1st Cir.
    ______________ ______

    1985), that "we can think of no instance in which the

    government would be justified in making a promised benefit

    contingent upon the return of an indictment or a guilty

    verdict." Id. at 210 (footnote omitted).
    __

    Subsequently in United States v. Cresta, 825 F.2d 538
    _____________ ______

    (1st Cir. 1987), cert. denied, 486 U.S. 1042 (1988), this
    ____________

    court upheld an agreement much like that in this case. In

    Cresta a government witness was promised $50,000 from the
    ______

    sale of a vessel that was to be seized and forfeited to the

    government as a result of the witness's cooperation. Cresta
    ______

    relied upon the facts that the terms of the agreement were

    disclosed to defense counsel and explored on cross-

    examination; there was substantial corroboration of the

    witness's testimony; and the court admonished the jury to

    weigh carefully the credibility of accomplice testimony. See
    ___

    id. at 546.10
    __

    Those same facts are present in this case. The terms of

    the agreement were not concealed; to the contrary,



    ____________________

    10See also United States v. Wilson, 904 F.2d 656 (11th
    ________ _____________ ______
    Cir. 1990) (testimony by government witnesses who could
    potentially recover up to $11 million held not to violate due
    process), cert. denied, 112 S. Ct. 250 (1991).
    ____________

    -57-
    -57-















    defendants' counsel questioned Scott closely about his

    arrangements with the government, and argued at length in

    closing that Scott should be disbelieved as a result of them.

    There was evidence to corroborate virtually every aspect of

    Scott's testimony. And the court instructed the jury to

    consider carefully any inducements or advantages that any

    witnesses had received. Finally, the $250,000 payment to

    Scott was completed several days prior to trial, and the

    payment was thus not directly dependent upon the result of

    Scott's testimony in court.

    Clearly such immense payments are troubling. The

    payments may be for "information," rather than for later

    testimony or convictions, but the steps are linked and the

    inducement to testify in accordance with prior reports is

    obvious. Yet defendants are regularly convicted based on

    testimony secured by the prosecutor's decision to reduce or

    dismiss charges against testifying co-defendants. In fact,

    Congress has enacted statutes that directly reward those who

    disclose misconduct and who doubtless testify for the















    -58-
    -58-















    government in the ensuing trials.11 In all events, Cresta
    ______

    is the governing law in this circuit and controls this case.

    X. COMMENTS BY THE PROSECUTION

    Boisoneau alleges that he was unfairly prejudiced by

    improper comments made by the prosecutor during closing

    argument. First, Boisoneau challenges the following passage

    from the prosecutor's rebuttal argument at the close of the

    case, in which the prosecutor sought to justify the

    government's $250,000 payment to Scott in exchange for his

    cooperation:

    What did the government know before Jeffrey Scott
    walked into the [DEA] in contrast to what the
    government knew as a result of Jeffrey Scott's
    cooperation? And even on pure dollars and cents,
    consider the amount of forfeitures, the seizures
    that it led to. But go beyond that, because if you
    do a cost benefit analysis you must also consider
    the cost that was saved to society by dismantling
    an operation like the one you've heard about
    here. . . .

    Boisoneau made no objection to these remarks during trial,

    and our review is therefore limited to plain error. Fed. R.

    Crim. P. 52(b).




    ____________________

    11"[R]ewards for assistance are essential to the
    business of detecting and punishing crime." United States v.
    _____________
    Bringham, 977 F.2d 317, 318 (7th Cir. 1992). See, e.g., 31
    ________ ___ ____
    U.S.C. 3730(d) (providing for an award of up to 10 percent
    of the proceeds of suit to any individual whose provision of
    information leads to government's recovery of funds under the
    False Claims Act, 31 U.S.C. 3729); 26 U.S.C. 7623
    (providing for Secretary of Treasury to make awards "for
    detecting and bringing to punishment persons guilty of
    violating the internal revenue laws").

    -59-
    -59-















    Boisoneau now argues that the prosecutor's statement was

    an improper allusion to facts not in the evidence, namely, to

    some actual cost-benefit analysis commissioned by the

    government showing the advantages and disadvantages of the

    payment to Scott. These remarks do not suggest to us that

    some actual cost-benefit analysis was undertaken: they are

    nothing more than an argument, using the latest fashionable

    jargon, that the payment was reasonable in light of the

    results obtained. The prosecutor's own language--"if you do
    ___

    a cost benefit analysis"--shows that he was merely suggesting

    a way for the jury to look at the payment.

    Boisoneau also objects to the prosecutor's statement in

    closing that the trial judge alone would determine the

    sentences for each of the cooperating witnesses, and that the

    jury therefore should not think that the witnesses were

    getting "a walk." Boisoneau points out that in fact the

    government had dismissed, or elected not to assert, numerous

    criminal charges against many of the cooperating witnesses

    and also had promised to make motions for downward departures

    with respect to certain witnesses. Therefore, Boisoneau

    argues, the government in fact had far more significant

    influence on the witnesses' ultimate sentences than the

    prosecutor's disclaimers would suggest.

    We agree that the prosecutor's statement told only half

    the story, but it is usually the function of opposing counsel



    -60-
    -60-















    to remind the jury of the other half. Indeed, witnesses are

    normally cross-examined as to just such inducements. Perhaps

    in some instances a prosecutor's incomplete version of events

    might involve so much distortion that a cautionary

    instruction by the trial judge would be required. In this

    instance, no objection was made at the trial nor any

    instruction sought, and there is no "plain error" here in the

    court's failure to give such an instruction sua sponte. We
    __________

    have similarly examined Boisoneau's other claims of

    prejudicial error arising out of the prosecutor's closing

    arguments and find them unpersuasive.

    Nor do we see any merit in Thompson's suggestion that

    the prosecutor's closing argument contained improper

    "vouching" for the government's witnesses. The line between

    the legitimate argument that a witness's testimony is

    credible and improper "vouching" is often a hazy one, to be

    policed by the trial court in the first instance. See United
    ___ ______

    States v. Martin, 815 F.2d 818, 822-23 (1st Cir.), cert
    ______ ______ ____

    denied, 484 U.S. 825 (1987). Here, at worst the challenged
    ______

    remarks -- for example, the prosecutor's statement that

    "[t]he testimony of the witnesses in this case is well

    corroborated . . . [a]nd as a result, you know that the

    witness's testimony is true" -- fell in the grey area.

    Thompson did not object to the remarks at trial when a





    -61-
    -61-















    curative instruction might have been given, and we think that

    is the end of the matter.

    XI. FAILURE TO PRESERVE EVIDENCE

    Thompson argues that his due process rights were

    violated by the government's failure to preserve exculpatory

    evidence, specifically a DEA-6 form prepared by Agent

    McDonough summarizing an interview with Thompson. It appears

    that McDonough interviewed Thompson on March 10, 1988, and

    then memorialized the interview on the DEA-6 form. On June

    22, 1988, just prior to Thompson's appearance before the

    grand jury, McDonough again met with Thompson, and Thompson

    made certain handwritten corrections on the form and then

    signed it. In the grand jury, the government attorney read

    each statement on the DEA-6 form to Thompson, and then asked

    Thompson to confirm the truth of the statement. Thompson did

    so, making some modifications or corrections. The form with

    Thompson's handwritten corrections was lost after the grand

    jury appearance.

    Thompson filed a motion to dismiss the indictment on the

    ground that the DEA-6 form as corrected by him prior to the

    grand jury appearance was material exculpatory evidence, and

    that the government's failure to preserve that evidence

    deprived him of a fair trial. This motion was denied by the

    magistrate judge to whom it was referred. The magistrate

    judge's report advised the parties that pursuant to the local



    -62-
    -62-















    rules the failure to file written objections to the report

    within ten days "shall preclude further appellate review by

    the Court of Appeals." Thompson failed to file a written

    objection. The issue, therefore, was waived. See Thomas v.
    ___ ______

    Arn, 474 U.S. 140, 155 (1985); United States v. Valencia-
    ___ _____________ _________

    Copete, 792 F.2d 4, 6 (1st Cir. 1986).
    ______

    Although we will address waived issues where necessary

    to prevent a miscarriage of justice, we certainly perceive

    none here. The corrected DEA-6 form was essentially

    preserved by the grand jury testimony itself, during which

    the government attorney went through the form line-by-line.

    The transcript of this grand jury testimony was read to the

    jury at trial.

    XII. JURY INSTRUCTIONS

    Several defendants--Thompson, Letters, Litterio and

    Boisoneau--challenge various aspects of the district court's

    charge to the jury.

    First, Thompson argues that the court erred by denying

    his request for an instruction stating that the motor vehicle

    licenses and registrations were public documents. As already

    noted, one of the crucial pieces of evidence linking Thompson

    to the conspiracy was his provision to Innamorati of registry

    checks on the license plates of vehicles of which Innamorati

    was suspicious. Thompson asked that the jury be told that

    "as a matter of law, motor vehicle licenses and registrations



    -63-
    -63-















    are public documents, and disclosure of their contents does

    not, in itself, violate the law."

    The only case on the point cited in Thompson's brief,

    Doe v. Registrar of Motor Vehicles, 26 Mass. App. Ct. 415,
    ____ ___________________________

    528 N.E.2d 880 (1988), actually stands for the proposition

    that the motor vehicle registry is not prima facie a public
    ___ _____ _____

    record. In any event, the government did not charge Thompson

    with stealing government secrets; it was enough for it to

    show that Thompson's behavior in facilitating access to the

    registry was part of the conspiracy. There is no indication

    that the instructions as a whole misled the jury as to what

    was needed to convict on the conspiracy count.

    Second, Thompson challenges the district court's refusal

    to instruct that "mere proof of a buyer-seller relationship

    is not enough to convict one as a co-conspirator on drug

    conspiracy charges." This instruction is at best an

    incomplete statement of the law of conspiracy. Depending on

    the surrounding circumstances, a buyer-seller relationship

    could, in some cases, be the very core of a drug distribution

    conspiracy. See Moran, 894 F.2d at 1302-04. For this
    ___ _____

    reason, courts that have approved the "buyer-seller"

    instruction have restricted its use to cases in which the

    evidence showed only a single or a very limited number of

    sales for personal use. See United States v. Canino, 949
    ___ _____________ ______

    F.2d 928, 941 (7th Cir. 1991), cert. denied, 112 S. Ct. 1701,
    ____ ______



    -64-
    -64-















    1940 (1992); United States v. Medina, 944 F.2d 60, 65-66 (2d
    _____________ ______

    Cir. 1991), cert. denied, 112 S. Ct. 1508 (1992).
    ____ ______

    In this instance, the gist of the conspiracy charge

    against Thompson was not his drug purchases as such but his

    other affirmative acts--notably, procuring cellular phones

    and performing license plate checks--that the government said

    were knowingly designed to assist Innamorati's extensive drug

    ring operations. We doubt whether the instruction Thompson

    sought is well tailored even for a case in which the

    conspiracy charge focuses on multiple purchases and the

    "defense" is personal use. The instruction is even less

    appropriate for the case actually presented against Thompson.

    Finally, Thompson complains in a cursory fashion of the

    trial court's responses to several questions posed by the

    jury during its deliberations. For example, although

    Thompson argues that a supplementary instruction on

    conspiracy was a "misstatement" of law, he fails to tell us

    how the statement was inaccurate. We find no prejudicial

    error here, nor with respect to each of Thompson's remaining

    objections to the judge's handling of the jury's inquiries.

    Next, Letters says that the court's supplemental

    instruction on the definition of "aiding and abetting," in

    response to a jury inquiry on the fourth day of

    deliberations, failed to tell the jury that some affirmative

    participation on the part of the defendant is required for



    -65-
    -65-















    conviction. Letters failed to object to the challenged

    language at trial. Once again confining our review to a

    search for plain error, we find none. The supplemental

    instruction adequately informed the jury of the requisite

    level of participation required to convict for aiding and

    abetting. Letters' underlying concern--that the jury be told

    that merely purchasing cocaine for personal use does not aid

    and abet the seller's possession with intent to distribute--

    was specifically addressed by the court in the supplemental

    instruction immediately after the portion Letters challenges.

    Finally, Litterio and Boisoneau claim as error the

    district court's refusal to give their requested "accomplice

    testimony" instruction. From reading their briefs, one might

    get the impression that no "accomplice testimony" instruction

    was provided. In fact, the court admonished the jury at

    length on the need to weigh carefully the uncorroborated

    testimony of an accomplice and to consider the advantages

    that such witnesses might receive in exchange for their

    testimony. The court is not required to track the

    defendants' requested language so long as the jury is fairly

    informed of the pertinent law, United States v. Newton, 891
    _____________ ______

    F.2d 944, 951 (1st Cir. 1989), as it was in this instance.

    XIII. ADMISSION OF "DRUG LEDGER" AND TELEPHONE SUMMARIES

    Thompson devotes a half page in his brief to an argument

    that the court abused its discretion by allowing the



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    government to introduce two items of evidence: first, a

    "ledger" and related evidence summarizing certain of the drug

    sales made by Tulowiecki; and second, evidence of telephone

    calls between various telephone numbers associated with the

    alleged conspiracy, as well as summary charts of that

    information.

    The drug "ledger" was a book maintained by Tulowiecki

    for about a month in the fall of 1987, in which Tulowiecki

    recorded cocaine sales, showing the purchaser (by code

    number), the amount of narcotics bought, the price and the

    date. When not using the ledger, Tulowiecki frequently

    recorded cocaine sales on slips of paper, a number of which

    were also introduced into evidence. In addition, Tulowiecki

    prepared for use at trial a summary of the transactions that

    were recorded in the ledger and on the slips of paper.

    Defendants did not object at trial to the introduction of the

    ledger and original papers, but they did object when the

    government sought to introduce Tulowiecki's summary.

    Thompson's brief does not identify any basis for concluding

    that the admission of these materials was error.

    The telephone evidence consisted of frequency reports

    showing the number of calls between various telephone numbers

    of persons and businesses associated with the conspiracy, as

    well as charts summarizing that information. Many courts

    have admitted this type of evidence in conspiracy cases.



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    E.g., United States v. Porter, 821 F.2d 968, 975 (4th Cir.
    ____ _____________ ______

    1987), cert. denied, 485 U.S. 934 (1988); United States v.
    ____ ______ _____________

    Drougas, 748 F.2d 8, 25-26 (1st Cir. 1984). Thompson argues
    _______

    that the telephone records did not identify the specific

    persons who made or received the calls; but this merely

    limits and does not eliminate their relevance. Thompson also

    says that "testimony and exhibits made it clear that the

    compilation of numbers [in the government's summaries] did

    not match the phone records." But Thompson fails either to

    specify any respects in which the summary materials were

    inaccurate or to cite us any such "testimony and exhibits."

    XIV. "GUILT ASSUMING HYPOTHETICALS"

    Thompson argues that he is entitled to a new trial on

    account of the prosecutor's use, in Thompson's phrase, of

    "guilt assuming hypotheticals" during redirect examination of

    Lancaster Police Chief Eric Mcavene. During cross

    examination of Mcavene, Thompson's counsel sought to

    establish that it was a common practice for police officers

    to run registry checks on license plates, and that such

    checks were done for many different reasons including

    requests from the public. Mcavene admitted that registry

    checks were conducted for a variety of reasons and that he

    was not consulted in every instance.

    In response, government counsel sought to dispel the

    notion that registry information was freely disseminated.



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    Pursuing that theme, the prosecutor asked Mcavene, "[I]f a

    known drug dealer had asked you for a Registry check, would

    you do it for him?" Before the witness could answer, the

    court upon objection ruled (mistakenly) that this question

    had already been asked. The prosecutor acquiesced and moved

    on to his next inquiry: "[I]f William Thompson had asked you

    for the Registry check would you have done it?" The court

    sustained Thompson's objection to this question, struck the

    question, and denied Thompson's motion for a mistrial.

    It may be a close call whether either of these questions

    was improper as an implied assertion that Thompson was a drug

    dealer, but we need not pursue the issue. Even if both

    questions were error, they did not conceivably have such a

    prejudicial impact as to require reversal. Neither question

    was answered by the witness, one was stricken from the

    record, and the court elsewhere instructed the jury that

    statements of counsel are not evidence. The precise limits

    on who could obtain registry checks was largely a side-show

    and Mcavene's attitude toward disclosure was a subject raised

    by Thompson's own counsel.

    XV. MARK LITTERIO EVIDENCE

    Litterio argues that the court erred by permitting the

    government to introduce evidence of a drug transaction

    involving Litterio's brother, Mark Litterio, as well as a

    statement made by Mark Litterio to an undercover officer.



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    Litterio was convicted under count five of the indictment for

    possession of cocaine with intent to distribute. The primary

    evidence was Tulowiecki's testimony that Litterio purchased

    four ounces of cocaine from Innamorati in late August 1987.

    According to Tulowiecki, Litterio said at the time of the

    purchase that he was buying the cocaine for his brother Mark.

    To corroborate this testimony, the government offered

    testimony from a parade of police officers showing that Mark

    Litterio and an accomplice were involved in the sale of four

    ounces of cocaine just after James Litterio's purchase from

    Innamorati.

    Although the evidence of the Mark Litterio transaction

    was a major detour, the evidence was relevant to the charge

    against Litterio in count five. The fact that Mark Litterio

    sold four ounces of cocaine to undercover agents just after

    James Litterio bought the same amount from Innamorati

    strongly corroborated Tulowiecki's testimony. The only

    "prejudice" was the potential for distracting the jury with

    details of an uncharged crime, and this judgment is largely

    within the discretion of the trial judge. See United States
    ___ _____________

    v. Bonneau, 970 F.2d 929, 935 (1st Cir. 1992) ("only rarely--
    _______

    and in extraordinarily compelling circumstances" should this

    court "reverse a district court's on-the-spot judgment

    concerning the relative weighing of probative value and

    unfair effect").



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    Litterio also challenges as hearsay the admission,

    through the testimony of one of the officers involved in the

    Mark Litterio undercover investigation, of Mark Litterio's

    contemporaneous statement that he was doing the four-ounce

    cocaine deal with his brother "Mickey" (James Litterio's

    nickname). This statement, however, was admissible against

    Litterio under Fed. R. Evid. 801(d)(2)(E), which excludes

    from the definition of hearsay "a statement by a

    coconspirator of a party during the course of and in

    furtherance of the conspiracy." Litterio objects that there

    is nothing to show that Mark himself was a member of the

    Innamorati ring. But based on this single transaction James

    and Mark Litterio were evidently engaged in a conspiracy in

    which James supplied, and Mark sold, four ounces of

    cocaine.12 Mark Litterio's statement to the undercover

    officers was in furtherance of it. Whether this was a

    separate conspiracy or part of the larger Innamorati

    conspiracy makes no difference so far as the admissibility of

    the statement against James Litterio is concerned.

    XVI. REFERENCES TO "THE DEMARCOS"




    ____________________

    12Mark Litterio's statement itself may be considered in
    determining admissibility, see Bourjaily v. United States,
    ___ _________ _____________
    483 U.S. at 178-79, and in addition there was evidence that
    James Litterio stated to Tulowiecki that he (James Litterio)
    needed the four ounces for his brother Mark, and that Mark
    Litterio was followed to James Litterio's house immediately
    after James Litterio received the drugs from Tulowiecki.

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    Robert DeMarco Jr. argues that he was deprived of a fair

    trial by repeated references to "the DeMarcos." He contends

    that these collective references deprived him of an

    individual adjudication of guilt or innocence, and instead

    grouped him together with his father as a single entity.

    We have examined the record and conclude that the phrase

    "the DeMarcos" was used as a substitute for "both Robert

    DeMarco Sr. and Robert DeMarco Jr.," and that this was made

    clear to the jury. For example, in one of the instances

    cited by Demarco Jr., Callahan testified that he distributed

    portions of two half-kilograms of cocaine to, among others,

    "the Demarcos." Upon counsel's objection to the collective

    reference, the prosecutor asked whether Robert DeMarco Sr.

    and Robert DeMarco Jr. "were both present" at the time of

    this distribution, and Callahan replied, "Yes."

    A witness may testify that two persons jointly performed

    a given act so long as confusion is avoided. Here, the

    witness was merely using the shorthand phrase "the DeMarcos"

    to refer to "both Robert DeMarco Sr. and Robert DeMarco Jr."

    When counsel objected, the witness made clear his meaning.

    We have examined the other instances cited by DeMarco Jr. and

    find them to be equally lacking in confusion or prejudice.

    XVII. EX PARTE PROCEEDINGS
    __ _____

    After the trial concluded, the government discovered

    information in its possession that related to an incident



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    recounted during the trial testimony of a government witness.

    Although the government believed that the information was not

    Brady material, it did not wish to conceal the information
    _____

    from the court or take the final responsibility for

    appraising its importance. At the same time, the government

    feared that release of the information would pose a

    substantial danger of serious harm.

    Accordingly, the government submitted the information to

    the district court ex parte, described the reasons for its
    __ _____

    position and explained why it feared disclosure. The

    district court ruled that the information was not material

    and that the government's justification for non-disclosure

    was persuasive. The district court sealed its order

    containing these rulings. At no time during this episode

    were defendants or their counsel made aware of these

    proceedings or of the court's order.

    The government's submission and the district court's

    order were forwarded to this court and brought to the

    attention of this panel. This court in turn issued an order

    on November 18, 1992, informing all defense counsel of the

    existence of the ex parte proceedings. Not surprisingly,
    __ _____

    defendants have moved for disclosure of the information, or

    at the very least a synopsis of the information so that they

    may argue intelligently as to its materiality and the need

    for disclosure. Certain defendants also argue that the ex
    __



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    parte procedures utilized by the district court deprived them
    _____

    of a fair trial.

    We sympathize with defendants' protestations and agree

    that the procedures utilized in this case raise extremely

    serious issues. Outside of emergencies, see Fed. R. Civ. P.
    ___

    65(b) (temporary restraining orders), the ex parte submission
    __ _____

    of information from a party to the court and the court's

    ruling on that information without notice to or participation

    of the opposing party is fundamentally at odds with our

    traditions of jurisprudence, Haller v. Robbins, 409 F.2d
    ______ _______

    857, 859 (1st Cir. 1969), and can be justified only in the

    most extraordinary circumstances. Nevertheless, in rare

    situations requirements of confidentiality outweigh the

    interest in adversarial litigation and permit a court to rule

    on an issue in camera without the participation of an
    __ ______

    interested party.

    For example, in United States v. Perkins, 926 F.2d 1271
    _____________ _______

    (1st Cir. 1991), the government possessed information that

    was arguably useful to impeach a government witness, but

    whose disclosure would have jeopardized an ongoing criminal

    investigation. The government submitted the information to

    the district court for an in camera determination of its
    __ ______

    materiality. The court concluded that the information was

    not material and need not be disclosed. After trial--

    presumably after the threat to the investigation had ceased--



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    the government's ex parte submission was unsealed and the
    __ _____

    defendant was for the first time apprised of the information.

    On appeal we upheld the court's finding of immateriality and,

    implicitly, the procedure employed.

    There are other examples. Fed. R. Crim. P. 16(d)(1)

    expressly authorizes the court to deny discovery of

    information sought by a defendant based on an ex parte
    __ _____

    showing by the government of the need for

    confidentiality.13 The Classified Information Procedures

    Act, 18 U.S.C. App. 1-16, permits the ex parte submission
    __ _____

    of affidavits by the government in support of a protective

    order authorizing the non-disclosure of national security

    information. See United States v. Pringle, 751 F.2d 419, 427
    ___ _____________ _______

    (1st Cir. 1984). And under Franks v. Delaware, 438 U.S. 154
    ______ ________

    (1978), courts often make an in camera assessment of the
    __ ______

    veracity of a confidential government informant and the harm

    from revealing his identity. See United States v. Southard,
    ___ ______________ ________

    700 F.2d 1, 10-11 (1st Cir.), cert. denied, 464 U.S. 88
    _____________

    (1983).

    The present case is unusual because not only were

    defendants denied access to the material but they did not

    even know of its submission to the court. We agree that the


    ____________________

    13See e.g., United States v. Napue, 834 F.2d 1311, 1317
    ___ ____ _____________ _____
    (7th Cir. 1987) (approving this procedure in appropriate
    cases). Rule 16(d)(1) requires the court to preserve the
    records of the ex parte communication for the appellate court
    __ _____
    in the event of an appeal, as was done in this case.

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    secret submission to the court is especially dangerous,

    depriving the opponent even of the opportunity to argue

    generally against the need for secrecy. Yet there is no

    question here of convictions based upon secret evidence

    furnished to the factfinder but withheld from the defendants.

    What the government did was to provide material to the court

    to permit the court to determine whether under applicable law

    the material needed to be produced to the other side and,

    collaterally, to determine whether there was a legitimate

    reason for continued secrecy in the submission.

    Each of the three judges on this panel has considered

    the information in this case bearing on these two issues.

    Our standard in this inquiry was to resolve every legitimate

    doubt in favor of the defendants precisely because they could

    not argue the matter for themselves. We nevertheless have

    concluded that there was a substantial threat of serious harm

    warranting the initial examination by the district court

    without notice to defendants; that the threat has abated

    sufficiently to justify notice to the defendants now but not

    the disclosure of the information itself; and that the

    information, whether or not technically Brady material, would
    _____

    not have significantly assisted any of the defendants and

    could not conceivably have altered any of the verdicts.

    As for the government's action in submitting the

    information to the district court without notice to



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    defendants, we would expect this dangerous course to be very

    rare indeed, but in this instance we find that it was

    justified and, given the unimportance of the material, it

    inflicted no prejudice on the defendants. No doubt we could

    construct a judicial rule forbidding the government, absent a

    statute or regulation, from making any secret submission.

    But we think that the interests of justice are better served

    by encouraging the government to let the district court

    resolve the Brady issue or like questions in close cases.
    _____

    Defendants in general would not gain from a regime that

    encouraged the government to decide the matter itself.

    XVIII. SENTENCING ISSUES

    A. Introduction

    Thompson, DeMarco Sr., Letters, Litterio and Boisoneau

    challenge the district court's calculation of their sentences

    under the Sentencing Guidelines.14 Many of defendants'

    arguments concern the court's calculation of the amount of

    narcotics attributable to each defendant. It is useful to

    say a few words on the subject at the outset.

    Under the Guidelines, the sentence for a drug-related

    offense hinges substantially upon the total amount of drugs

    involved in that offense. See U.S.S.G. 2D1.1(c) (drug
    ___




    ____________________

    14The district court applied the 1990 version of the
    Sentencing Guidelines and therefore all citations unless
    otherwise indicated are to that version.

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    quantity table).15 This determination often turns on the

    "relevant conduct" provision of the Guidelines, which

    provides that a defendant's base offense level shall be

    determined on the basis of "all acts and omissions committed

    or aided and abetted by the defendant, or for which the

    defendant would be otherwise accountable, that occurred

    during the commission of the offense of conviction . . . ."

    U.S.S.G. 1B1.3(a)(1). In the case of concerted criminal

    activity, conduct "for which the defendant would be otherwise

    accountable" includes "conduct of others in furtherance of

    the execution of the jointly-undertaken criminal activity

    that was reasonably foreseeable by the defendant." Id.
    __

    comment note 1.

    Thus, "[t]he central concept . . . is foreseeability."

    United States v. O'Campo, 973 F.2d 1015, 1023 (1st Cir.
    ______________ _______

    1992). This means that each member of a drug distribution

    conspiracy may be held accountable at sentencing for a

    different quantity of narcotics, depending on the

    circumstances of each defendant's involvement. See U.S.S.G.
    ___

    1B1.3 comment note 1. The foreseeability determination is


    ____________________

    15Section 2D1.4 provides that if a defendant is
    convicted of conspiring to commit an offense involving a
    controlled substance, "the offense level shall be the same as
    if the object of the conspiracy or attempt had been
    completed." Section 2D1.1, in turn, sets forth the offense
    levels for the completed offenses of distribution and
    possession with intent to distribute based primarily upon the
    drug quantity table.


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    inherently fact-bound, and "[a] district court's finding of

    the amount of drugs involved in an offense will be overturned

    on appeal only upon a showing of clear error." United States
    _____________

    v. Tracy, 989 F.2d 1279, 1287 (1st Cir. 1993). "[W]here more
    _____

    than one reasonable inference may be drawn from undisputed

    facts, the court's choice from among supportable alternatives

    cannot be clearly erroneous." United States v. McCarthy, 961
    _____________ ________

    F.2d 972, 978 (1st Cir. 1992).

    In this case, the court held an evidentiary hearing to

    determine the drug quantities attributable to each defendant.

    Callahan and Tulowiecki testified regarding the amounts of

    narcotics distributed to certain of the defendants. The

    court also relied heavily on detailed pre-sentence reports

    prepared by the probation officer. See Fed. R. Crim. P.
    ___

    32(c). Thereafter, the court issued a memorandum opinion

    setting forth its factual findings including "how much

    controlled substance is attributable to each defendant in

    order to establish his base offense level for Guideline

    purposes." Order of July 12, 1991 at 2.

    B. William Thompson

    Thompson first argues that the Sentencing Guidelines do

    not apply to him because the principal evidence against him--

    the provision of registry checks and cellular phones--

    occurred prior to November 1987, when the Sentencing

    Guidelines took effect. Thompson waived this claim by



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    failing to make it during the sentencing process. See
    ___

    Figueroa, 976 F.2d at 1462. In any event, the Guidelines
    ________

    applied to Thompson, because he was a member of an ongoing

    conspiracy that continued past the effective date of the

    Guidelines and Thompson did not withdraw before the

    Guidelines became effective. See United States v. Thomas,
    ___ _____________ ______

    895 F.2d 51, 57 (1st Cir. 1990).

    Thompson next contests the calculation of the quantity

    of drugs for which he is accountable. Thompson's principal

    contributions to the venture did not lie in particular drug

    transactions but rather in the provision of services to

    Innamorati. Thompson helped Innamorati set up his

    communications network and ran license plate registry checks

    on prospective customers, and Thompson knew Innamorati was a

    large-scale distributor. Innamorati himself was responsible

    for the importation and distribution of approximately 16

    kilograms of cocaine and 450 pounds of marijuana.

    The pre-sentence report concluded that Thompson

    purchased small quantities of cocaine for personal use

    amounting to approximately 46 grams. Further, Thompson

    admitted before the grand jury that he had been aware since

    1983 or 1984 that Innamorati was distributing cocaine, and

    that he often was present in Innamorati's house when

    Innamorati possessed large amounts of cocaine. Based on

    these facts, the probation officer (and later the court)



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    determined that it was reasonable to conclude that Thompson

    could have foreseen that Innamorati was dealing in multiple

    kilograms. Recognizing that it was engaged in a "highly

    speculative task," the probation officer determined that

    Thompson could reasonably have foreseen 3.2 kilograms of

    cocaine, based on the cocaine purchased and the cocaine he

    personally saw in Innamorati's house.

    We think the 3.2 kilogram finding is at the low end of

    the range of figures that might reasonably have been chosen.

    Thompson knowingly assisted Innamorati's drug ring

    operations, well aware that Innamorati was involved in the

    importation and distribution of large amounts of cocaine. He

    saw large caches of cocaine in Innamorati's home and made

    purchases for himself, and the district court treated

    Thompson favorably by limiting his accountability to these

    amounts. The computation of what Thompson himself saw and

    bought is necessarily an estimate but is hardly an

    implausible one. We see no error.

    Thompson argues that the court wrongly increased his

    base offense level under U.S.S.G. 3B1.3, which provides for

    a two-level enhancement if "the defendant abused a position

    of public or private trust . . . in a manner that

    significantly facilitated the commission or concealment of

    the offense." The court based this enhancement on the fact

    that Thompson had worked as a Massachusetts Registry police



    -81-
    -81-















    officer from 1978 until some time around 1985 and used that

    position to gain access to the registry computer and provide

    license plate checks to Innamorati.

    Employment as a registry police officer clearly

    qualifies as a "position of public . . . trust" within the

    meaning of the Guideline. E.g., United States v. Rehal, 940
    ____ _____________ _____

    F.2d 1, 5 (1st Cir. 1991) (police sergeant). Although we

    have found no case law on point, we do not believe it matters

    that Thompson was no longer employed with the registry at the

    time he provided the information to Innamorati, so long as he

    abused the access that his former position afforded him. The

    Guideline itself does not limit its application to cases in

    which the defendant is employed at the time, and the

    underlying policy appears to apply to this case.

    If and when others among the public could gain access to

    motor vehicle information in the registry is not entirely

    clear. But the evidence at trial indicated that Thompson's

    prior employment made it easier for Innamorati to do so.

    There was police testimony that it was improper for anyone to

    perform a check without a valid law enforcement purpose, a

    test that Thompson's activities clearly did not meet. Given

    these facts, we do not believe that the sentencing judge

    committed clear error by concluding that Thompson abused a

    position of public trust. See Rehal, 940 F.2d at 5 (applying
    ___ _____





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    "clearly erroneous" standard of review to abuse-of-trust

    adjustment under section 3B1.3).

    Finally, Thompson argues that the court erred by failing

    to award him a four-level reduction as a "minimal

    participant" under section 3B1.2(a). A "minimal" participant

    is defined as one who is "plainly among the least culpable of

    those involved in the conduct of a group." U.S.S.G. 3B1.2

    comment note 1. A "minor" participant"-- defined as one "who

    is less culpable than most other participants, but whose role

    could not be described as minimal," id. (n.3) -- is entitled
    __

    to a two-level reduction under U.S.S.G. 3B1.2(b). The

    Guideline also permits the court to award a three-level

    decrease to persons whose participation was more than minimal

    but less than minor. The four-level "minimal participant"

    adjustment was intended to be applied "infrequently"; an

    example given is an individual recruited as a courier for a

    single transaction in an larger enterprise. Id. note 2.
    __

    Here, the court concluded that Thompson was not a "minimal

    participant" in light of his substantial assistance to and

    close association with Innamorati. At the same time, the

    court found that Thompson played a limited role in

    Innamorati's overall distribution activities, and was not

    shown to have cocaine himself or to have shared in the

    profits. The court was reasonable, indeed generous, in





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    awarding Thompson a three-level reduction for persons falling

    in between the "minimal" and "minor" participant categories.

    C. Robert DeMarco Sr.

    DeMarco Sr. challenges the court's determination that he

    is accountable for 4.25 kilograms of cocaine. This finding

    was based on the testimony of Callahan at the sentencing

    hearing that he distributed an average of a quarter kilogram

    of cocaine per month to DeMarco Sr. from January 1987 through

    February 1988. It is unclear whether Callahan was including

    in this "average" one or both of two initial one-kilogram

    sales to DeMarco Sr. But the district judge resolved that

    uncertainty by concluding that one of the kilograms was

    included in the average and the other was not. This

    conclusion was not clearly erroneous. Indeed, Callahan

    testified:

    I would say the second full kilo was part of the
    average. But conservatively speaking, I would say
    you could exclude the first kilo and the average
    would still be quarter kilo a month.

    Thus, the sum of 4.25 kilograms was derived by totalling the

    quarter kilogram sales over a thirteen-month period (which

    amounts to 3.25 kilograms), and then adding the additional

    one-kilogram sale. Although there were discrepancies in

    Callahan's testimony as to the quantities and dates of drug

    sales to DeMarco Sr., "the court's choice from among

    supportable alternatives cannot be clearly erroneous." See
    ___

    McCarthy, 961 F.2d at 978.
    ________


    -84-
    -84-















    DeMarco Sr. also argues that the court abused its

    discretion by failing to award him the reductions provided

    under section 3B1.2 to "minor" or "minimal" participants.

    The district court was justified in concluding that DeMarco

    Sr. was a major customer whose monthly purchases of quarter

    kilograms of cocaine for more than a year helped keep the

    conspiracy in operation. Indeed, as the government points

    out, only two of the defendants--Innamorati and Grady--had

    more cocaine attributed to them at sentencing than DeMarco

    Sr. We find no error in the court's refusal to grant a

    downward adjustment.

    D. William Letters

    The court found that Letters was responsible for 510

    grams of cocaine. This was less than a third of the amount

    attributed to Letters by the probation officer. Tulowiecki

    testified at trial that he delivered quarter, half or full

    ounces of cocaine at least weekly and often several times per

    week to Letters between January 1987 and February 1988.

    Taking an average of one ounce or 28 grams per week over this

    fourteen-month period, the probation officer determined that

    Letters should be held responsible for approximately 1588

    grams. For reasons that are unexplained, the court reduced

    this amount to 510 grams. The court's reduction did not have

    a corresponding effect on Letters' sentence, however, since





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    the Guidelines supply the same base offense level of 26 for

    any quantity between 500 grams and two kilograms.

    Despite Tulowiecki's testimony, Letters points out that

    the chart prepared from Tulowiecki's drug ledger reflected

    the sale of only 336.5 grams of cocaine to Letters. But it

    was clear from Tulowiecki's testimony at trial and at the

    sentencing hearing that the chart was incomplete; it showed

    only sales over a limited period of time and for which there

    were written records, not all sales. The chart showed sales

    to Letters only for the period June 1987 to February 1988,

    whereas Tulowiecki testified that deliveries were made to

    Letters starting in January 1987. In sum, although the basis

    for the court's calculation of 510 grams does not appear from

    the record, the evidence supported a determination of at

    least that amount.

    Letters also challenges the calculation of his criminal

    history category. On March 30, 1990, while Letters was

    released on bail pending trial in this case, he was arrested

    for possession of cocaine with intent to distribute. Letters

    was convicted of that offense in April 1991 and was serving a

    sentence on that conviction at the time of sentencing in this

    case. This new conviction increased Letters' criminal

    history by three points pursuant to U.S.S.G. 4A1.1(a),

    which directs the district court to "add 3 points for each

    prior sentence of imprisonment exceeding one year and one



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    month." Combined with other pertinent information, this

    increase gave Letters a total of seven criminal points,

    placing him in Criminal History Category IV.

    Letters now argues that the March 1990 offense should

    not have been included in the calculation because under the

    Guidelines "prior sentences imposed in related cases" are to

    be treated as one sentence in the criminal history

    computation. U.S.S.G. 4A1.2(a)(2). Letters contends that

    the March 1990 offense was "related" to the conspiracy for

    which he was convicted in this case, and therefore should not

    have been separately considered in determining his criminal

    history. Letters, however, did not make this argument at

    sentencing, in response to the calculation of his criminal

    history in the Pre-sentence report or at the sentencing

    hearing before the district court. The argument was

    therefore waived. See Figueroa, 976 F.2d at 1462. Contrary
    ___ ________

    to Letters' brief, the statutory provision permitting

    appellate review of sentencing errors, 18 U.S.C.

    3742(e)(1), does not disturb the long-standing rule that

    claims must first be made in the district court to preserve

    them for review.16



    ____________________

    16Even if the issue had not been waived, there is
    substantial reason to believe that Letters' March 1990
    offense occurred after the end of the Innamorati conspiracy.
    The DEA search warrants were executed in February 1988 and by
    March 1988 Innamorati was in prison on a state-court
    conviction.

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    E. James Litterio

    Litterio contends that there was insufficient evidence

    to support the district court's determination that he is

    responsible for 1.7 kilograms of cocaine. The 1.7 kilogram

    figure is based on Tulowiecki's testimony that he delivered

    small amounts of cocaine to Litterio several times a week

    between January 1987 and February 1988 (based on a

    conservative estimate of 10 grams per week, the total amount

    was fixed at 600 grams); on evidence that Litterio provided

    four ounces (112 grams) of cocaine to his brother Mark that

    were then sold to undercover agents; and on Tulowiecki's

    testimony that soon after the four-ounce deal Litterio

    ordered an additional kilogram of cocaine from Innamorati,

    although the deal was canceled when it was discovered that

    undercover officers might be involved.

    Although Litterio argues that he should not be held

    responsible for cocaine that he purchased for personal use,

    this confuses the standard for criminal liability with that

    for sentencing accountability. Purchases by an addict or

    casual user for personal use may not automatically make one a

    member of a conspiracy to distribute. The situation is quite

    different where, as here, the evidence shows that there was a

    conspiracy and that a defendant was a member. At that point,

    that defendant's purchases for personal use are relevant in





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    determining the quantity of drugs that the defendant knew

    were distributed by the conspiracy.

    F. John Boisoneau

    The court held Boisoneau responsible for 316.52 grams of

    cocaine and sentenced him to 33 months imprisonment, which

    was at the bottom of the applicable range. The calculation

    of 316 grams included approximately 250 grams of cocaine that

    Boisoneau observed on one occasion while visiting the

    Edgewater Hills safehouse. When Boisoneau saw this "hunk" of

    cocaine he told Innamorati to put it away because it made him

    nervous. Boisoneau argues that in light of his reaction to

    the 250 grams of cocaine it was unreasonable for the court to

    hold him accountable for that amount at sentencing.

    The standard in computing the quantity of drugs is the

    amount of cocaine that Boisoneau reasonably should have

    foreseen to have been embraced by the conspiracy that he

    entered. See O'Campo, 973 F.2d at 1026. The 250 grams of
    ___ _______

    cocaine that Boisoneau observed in Innamorati's safehouse is

    reasonably included in determining the total amount of

    cocaine that Boisoneau could have foreseen, regardless of

    whether the amount made him nervous. If there were evidence

    that Boisoneau effectively withdrew from the conspiracy after

    he saw the "hunk" and realized the scope of Innamorati's

    operation, this would be a different case, but there is no

    evidence of any such withdrawal.



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    * * *

    In these ten appeals, somewhere between 50 and 100

    points were raised by individual defendants, although there

    is some overlap. We have addressed those that appeared

    substantial and we have considered without discussion a

    number of others that were plainly without merit, were raised

    in a perfunctory fashion, or both. Because of the number of

    claims, the defendants' briefs were reviewed again after the

    opinion was prepared to make certain that no claim of error

    was overlooked. The judgments are affirmed except that
    _________________________________________

    the judgment of conviction of defendant Grady on Count 4 is
    _____________________________________________________________

    vacated and his case is remanded for resentencing.
    _________________________________________________





























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Document Info

Docket Number: 91-1896

Filed Date: 8/17/1993

Precedential Status: Precedential

Modified Date: 9/21/2015

Authorities (33)

united-states-v-angel-luis-figueroa-united-states-of-america-v-tomas , 976 F.2d 1446 ( 1992 )

United States v. Claudia O'campo, United States v. Julian ... , 973 F.2d 1015 ( 1992 )

United States v. Kevin R. Dailey , 759 F.2d 192 ( 1985 )

Doe v. Registrar of Motor Vehicles , 26 Mass. App. Ct. 415 ( 1988 )

United States v. Anthony Brigham , 977 F.2d 317 ( 1992 )

united-states-v-robert-d-cresta-united-states-of-america-v-john-j , 825 F.2d 538 ( 1987 )

California v. Green , 90 S. Ct. 1930 ( 1970 )

Alfred Filesi, Individually and Trading as "Jolly Tavern," ... , 352 F.2d 339 ( 1965 )

United States v. Luz Medina, Silverio Polanco, Franklin ... , 944 F.2d 60 ( 1991 )

Franks v. Delaware , 98 S. Ct. 2674 ( 1978 )

United States v. Diane Sabatino, United States of America v.... , 943 F.2d 94 ( 1991 )

Direct Sales Co. v. United States , 63 S. Ct. 1265 ( 1943 )

United States v. Emiliano Valencia-Copete , 792 F.2d 4 ( 1986 )

United States v. Robert S. Baines , 812 F.2d 41 ( 1987 )

Dorothy M. Walker, of the Estate of Ora A. Walker v. ... , 412 F.2d 60 ( 1969 )

Brady v. Maryland , 83 S. Ct. 1194 ( 1963 )

Sidney A. Clark v. John Moran, Etc. , 942 F.2d 24 ( 1991 )

United States v. Manuel C. Thomas , 895 F.2d 51 ( 1990 )

United States v. Robert G. Wilson, Melvin Bogus , 904 F.2d 656 ( 1990 )

United States v. Alfredo Rios , 842 F.2d 868 ( 1988 )

View All Authorities »